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

31/07/2017

1.771444

1.768615

28/07/2017

1.774872

1.772036

27/07/2017

1.781288

1.778442

26/07/2017

1.770765

1.767936

25/07/2017

1.767469

1.764645

24/07/2017

1.758015

1.755206

21/07/2017

1.764291

1.761473

20/07/2017

1.761890

1.759075

19/07/2017

1.774575

1.771740

18/07/2017

1.757180

1.754373

17/07/2017

1.748640

1.745847

14/07/2017

1.749577

1.746782

13/07/2017

1.730472

1.727708

12/07/2017

1.712166

1.709431

11/07/2017

1.741014

1.738233

10/07/2017

1.759076

1.756266

07/07/2017

1.761891

1.759076

06/07/2017

1.769706

1.766879

05/07/2017

1.764840

1.762021

04/07/2017

1.785725

1.782872

03/07/2017

1.754350

1.751547

01/07/2017

1.770724

1.770724

30/06/2017

1.773557

1.770724

29/06/2017

1.824545

1.821630

28/06/2017

1.822345

1.819434

27/06/2017

1.818631

1.815726

26/06/2017

1.825476

1.822560

23/06/2017

1.832654

1.829726

22/06/2017

1.839132

1.836195

21/06/2017

1.855321

1.852357