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Unit Prices

Vanguard International Shares Index (Hedged)

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

28/02/2023

3.705011

3.699831

27/02/2023

3.715950

3.710755

24/02/2023

3.699621

3.694449

23/02/2023

3.734520

3.729299

22/02/2023

3.720280

3.715079

21/02/2023

3.729121

3.723908

20/02/2023

3.787949

3.782653

17/02/2023

3.788026

3.782730

16/02/2023

3.800648

3.795335

15/02/2023

3.835503

3.830141

14/02/2023

3.819583

3.814243

13/02/2023

3.816670

3.811334

10/02/2023

3.781488

3.776201

09/02/2023

3.782355

3.777067

08/02/2023

3.804206

3.798888

07/02/2023

3.832774

3.827416

06/02/2023

3.797941

3.792631

03/02/2023

3.822019

3.816676

02/02/2023

3.842633

3.837261

01/02/2023

3.795163

3.789857

31/01/2023

3.766512

3.761246

30/01/2023

3.730899

3.725683

27/01/2023

3.765812

3.760547

25/01/2023

3.726122

3.720913

24/01/2023

3.728214

3.723002

23/01/2023

3.728217

3.723005

20/01/2023

3.692221

3.687059

19/01/2023

3.639795

3.634706

18/01/2023

3.671291

3.666158

17/01/2023

3.705516

3.700336