What can we help you find?

Your search had no results

Please try the following to find what you’re looking for:

  • Check your spelling
  • Try different words or word combinations (E.g. "fund form")

Unit Prices

Vanguard Australian Properties Securities Index

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

12/10/2023

2.216605

2.213948

11/10/2023

2.197977

2.195343

10/10/2023

2.181431

2.178816

09/10/2023

2.145955

2.143383

06/10/2023

2.153459

2.150878

05/10/2023

2.159134

2.156546

04/10/2023

2.115634

2.113098

03/10/2023

2.130524

2.127970

30/09/2023

2.161127

2.158537

29/09/2023

2.161127

2.158537

28/09/2023

2.174548

2.171942

27/09/2023

2.184876

2.182257

26/09/2023

2.176124

2.173516

25/09/2023

2.205521

2.202878

22/09/2023

2.188048

2.185425

21/09/2023

2.220095

2.217434

20/09/2023

2.242704

2.240016

19/09/2023

2.262595

2.259883

18/09/2023

2.279385

2.276653

15/09/2023

2.289749

2.287005

14/09/2023

2.279948

2.277215

13/09/2023

2.271188

2.268466

12/09/2023

2.299402

2.296646

11/09/2023

2.302005

2.299246

08/09/2023

2.311365

2.308595

07/09/2023

2.320195

2.317414

06/09/2023

2.323587

2.320802

05/09/2023

2.347319

2.344506

04/09/2023

2.359981

2.357152

01/09/2023

2.344568

2.341758