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

23/03/2017

2.537138

2.531063

22/03/2017

2.534309

2.528242

21/03/2017

2.538618

2.532540

20/03/2017

2.561648

2.555515

17/03/2017

2.565850

2.559707

16/03/2017

2.567813

2.561665

15/03/2017

2.565363

2.559221

14/03/2017

2.548954

2.542851

13/03/2017

2.558870

2.552744

10/03/2017

2.555316

2.549198

09/03/2017

2.545353

2.539258

08/03/2017

2.542487

2.536399

07/03/2017

2.546215

2.540119

06/03/2017

2.551217

2.545109

03/03/2017

2.559202

2.553075

02/03/2017

2.558927

2.552800

01/03/2017

2.565994

2.559850

28/02/2017

2.531486

2.525425

27/02/2017

2.534649

2.528580

24/02/2017

2.534936

2.528867

23/02/2017

2.538688

2.532610

22/02/2017

2.539606

2.533525

21/02/2017

2.540812

2.534729

20/02/2017

2.526389

2.520340

17/02/2017

2.526670

2.520620

16/02/2017

2.524881

2.518835

15/02/2017

2.527960

2.521908

14/02/2017

2.515872

2.509848

13/02/2017

2.511714

2.505700

10/02/2017

2.498656

2.492674