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

24/12/2020

3.496436

3.490850

23/12/2020

3.487128

3.481557

22/12/2020

3.483218

3.477654

21/12/2020

3.480374

3.474814

18/12/2020

3.503019

3.497423

17/12/2020

3.509877

3.504270

16/12/2020

3.490538

3.484962

15/12/2020

3.479799

3.474240

14/12/2020

3.451123

3.445610

11/12/2020

3.456233

3.450711

10/12/2020

3.463778

3.458245

09/12/2020

3.463419

3.457886

08/12/2020

3.482107

3.476545

07/12/2020

3.471582

3.466036

04/12/2020

3.477284

3.471729

03/12/2020

3.451997

3.446482

02/12/2020

3.451663

3.446149

01/12/2020

3.446016

3.440511

30/11/2020

3.415187

3.409731

27/11/2020

3.434302

3.428816

26/11/2020

3.424547

3.419077

25/11/2020

3.424680

3.419210

24/11/2020

3.425039

3.419568

23/11/2020

3.385985

3.380576

20/11/2020

3.374349

3.368959

19/11/2020

3.384970

3.379563

18/11/2020

3.377126

3.371731

17/11/2020

3.396962

3.391536

16/11/2020

3.401763

3.396329

13/11/2020

3.371826

3.366439