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

26/05/2016

1.832589

1.828931

25/05/2016

1.829718

1.826066

24/05/2016

1.813189

1.809570

23/05/2016

1.815824

1.812200

20/05/2016

1.832023

1.828366

19/05/2016

1.828269

1.824620

18/05/2016

1.838469

1.834799

17/05/2016

1.848718

1.845027

16/05/2016

1.834944

1.831282

13/05/2016

1.831315

1.827660

12/05/2016

1.823411

1.819772

11/05/2016

1.841466

1.837791

10/05/2016

1.858391

1.854682

09/05/2016

1.833043

1.829384

06/05/2016

1.829806

1.826154

05/05/2016

1.842602

1.838924

04/05/2016

1.843900

1.840220

03/05/2016

1.831796

1.828140

02/05/2016

1.792520

1.788942

30/04/2016

1.789962

1.786390

29/04/2016

1.789962

1.786390

28/04/2016

1.784751

1.781189

27/04/2016

1.773208

1.769669

26/04/2016

1.763608

1.760087

22/04/2016

1.746636

1.743150

21/04/2016

1.747052

1.743565

20/04/2016

1.780525

1.776971

19/04/2016

1.774562

1.771020

18/04/2016

1.775623

1.772079

15/04/2016

1.755630

1.752126