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

05/05/2021

3.861065

3.854897

04/05/2021

3.847404

3.841258

03/05/2021

3.878023

3.871828

30/04/2021

3.870038

3.863856

29/04/2021

3.893848

3.887628

28/04/2021

3.880953

3.874753

27/04/2021

3.880162

3.873964

26/04/2021

3.883421

3.877217

23/04/2021

3.876604

3.870411

22/04/2021

3.848004

3.841857

21/04/2021

3.858913

3.852749

20/04/2021

3.835150

3.829024

19/04/2021

3.870700

3.864516

16/04/2021

3.889641

3.883428

15/04/2021

3.874739

3.868550

14/04/2021

3.840504

3.834369

13/04/2021

3.851917

3.845764

12/04/2021

3.838600

3.832468

09/04/2021

3.844474

3.838333

08/04/2021

3.825674

3.819563

07/04/2021

3.809421

3.803336

06/04/2021

3.804748

3.798670

01/04/2021

3.767987

3.761967

31/03/2021

3.732859

3.726896

30/03/2021

3.728804

3.722848

29/03/2021

3.730685

3.724725

26/03/2021

3.732621

3.726658

25/03/2021

3.680279

3.674400

24/03/2021

3.664676

3.658822

23/03/2021

3.688918

3.683025