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

24/10/2017

2.779477

2.773930

23/10/2017

2.775183

2.769643

20/10/2017

2.779223

2.773676

19/10/2017

2.769501

2.763973

18/10/2017

2.770962

2.765431

17/10/2017

2.767013

2.761490

16/10/2017

2.763725

2.758208

13/10/2017

2.760990

2.755479

12/10/2017

2.758045

2.752540

11/10/2017

2.760824

2.755313

10/10/2017

2.756268

2.750767

09/10/2017

2.749378

2.743891

06/10/2017

2.754019

2.748522

05/10/2017

2.755790

2.750289

04/10/2017

2.741537

2.736065

03/10/2017

2.742645

2.737171

30/09/2017

2.725162

2.719723

29/09/2017

2.725162

2.719723

28/09/2017

2.714326

2.708908

27/09/2017

2.710098

2.704689

26/09/2017

2.698866

2.693479

25/09/2017

2.699633

2.694245

22/09/2017

2.702274

2.696880

21/09/2017

2.701037

2.695646

20/09/2017

2.703139

2.697744

19/09/2017

2.702239

2.696846

18/09/2017

2.695350

2.689970

15/09/2017

2.688733

2.683366

14/09/2017

2.688833

2.683466

13/09/2017

2.691051

2.685680