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

12/11/2020

3.348976

3.343627

11/11/2020

3.375364

3.369972

10/11/2020

3.345599

3.340255

09/11/2020

3.339787

3.334451

06/11/2020

3.293222

3.287961

05/11/2020

3.293445

3.288184

04/11/2020

3.242210

3.237031

03/11/2020

3.181065

3.175984

02/11/2020

3.130131

3.125131

31/10/2020

3.090185

3.085249

30/10/2020

3.090185

3.085249

29/10/2020

3.126065

3.121071

28/10/2020

3.102826

3.097869

27/10/2020

3.195698

3.190593

26/10/2020

3.209079

3.203952

23/10/2020

3.261228

3.256018

22/10/2020

3.248457

3.243268

21/10/2020

3.239885

3.234710

20/10/2020

3.253567

3.248370

19/10/2020

3.247815

3.242627

16/10/2020

3.281787

3.276545

15/10/2020

3.277524

3.272288

14/10/2020

3.293289

3.288028

13/10/2020

3.309427

3.304140

12/10/2020

3.322781

3.317473

09/10/2020

3.285944

3.280695

08/10/2020

3.264486

3.259272

07/10/2020

3.243746

3.238565

06/10/2020

3.206316

3.201195

02/10/2020

3.185248

3.180159