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

08/01/2024

2.424666

2.421760

05/01/2024

2.430952

2.428038

04/01/2024

2.427332

2.424423

03/01/2024

2.439571

2.436647

02/01/2024

2.498332

2.495338

31/12/2023

2.514227

2.511214

29/12/2023

2.514227

2.511214

28/12/2023

2.521264

2.518242

27/12/2023

2.490385

2.487400

22/12/2023

2.452478

2.449539

21/12/2023

2.444436

2.441506

20/12/2023

2.471662

2.468700

19/12/2023

2.445998

2.443066

18/12/2023

2.422940

2.420036

15/12/2023

2.456969

2.454024

14/12/2023

2.470201

2.467240

13/12/2023

2.378413

2.375562

12/12/2023

2.364422

2.361588

11/12/2023

2.340565

2.337760

08/12/2023

2.341387

2.338581

07/12/2023

2.336993

2.334192

06/12/2023

2.334900

2.332101

05/12/2023

2.266145

2.263429

04/12/2023

2.295189

2.292438

01/12/2023

2.260234

2.257525

30/11/2023

2.259955

2.257246

29/11/2023

2.256855

2.254150

28/11/2023

2.235344

2.232665

27/11/2023

2.204729

2.202086

24/11/2023

2.234631

2.231953