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 International Shares Index (Hedged)

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

25/05/2023

3.839000

3.833633

24/05/2023

3.821402

3.816060

23/05/2023

3.855337

3.849947

22/05/2023

3.893024

3.887581

19/05/2023

3.888909

3.883472

18/05/2023

3.888094

3.882658

17/05/2023

3.854990

3.849601

16/05/2023

3.823981

3.818635

15/05/2023

3.845356

3.839980

12/05/2023

3.832461

3.827103

11/05/2023

3.831650

3.826293

10/05/2023

3.835826

3.830463

09/05/2023

3.827830

3.822479

08/05/2023

3.840443

3.835074

05/05/2023

3.836324

3.830961

04/05/2023

3.779265

3.773981

03/05/2023

3.801952

3.796637

02/05/2023

3.818370

3.813032

01/05/2023

3.859100

3.853705

30/04/2023

3.858157

3.852763

28/04/2023

3.858157

3.852763

27/04/2023

3.829777

3.824423

26/04/2023

3.775674

3.770395

24/04/2023

3.839513

3.834145

21/04/2023

3.837495

3.832130

20/04/2023

3.831652

3.826295

19/04/2023

3.849737

3.844355

18/04/2023

3.851415

3.846031

17/04/2023

3.844305

3.838930

14/04/2023

3.834732

3.829371