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

27/12/2018

2.000876

1.998079

24/12/2018

1.985764

1.982987

21/12/2018

1.990459

1.987676

20/12/2018

2.019585

2.016761

19/12/2018

1.999983

1.997187

18/12/2018

1.992036

1.989251

17/12/2018

2.014678

2.011861

14/12/2018

1.997225

1.994433

13/12/2018

1.996662

1.993871

12/12/2018

2.032135

2.029294

11/12/2018

2.000911

1.998114

10/12/2018

1.995045

1.992255

07/12/2018

2.027870

2.025035

06/12/2018

2.000666

1.997869

05/12/2018

1.953611

1.950880

04/12/2018

1.968655

1.965903

03/12/2018

1.973198

1.970439

30/11/2018

1.940918

1.938205

29/11/2018

1.995411

1.992621

28/11/2018

1.999382

1.996587

27/11/2018

1.991257

1.988473

26/11/2018

1.992735

1.989949

23/11/2018

1.978308

1.975542

22/11/2018

1.962979

1.960235

21/11/2018

1.949276

1.946551

20/11/2018

1.934817

1.932112

19/11/2018

1.938158

1.935448

16/11/2018

1.934641

1.931937

15/11/2018

1.952068

1.949339

14/11/2018

1.954580

1.951848