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Unit Prices

Vanguard International Shares Index (Hedged)

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

03/02/2016

2.072618

2.067243

02/02/2016

2.081781

2.076383

01/02/2016

2.118840

2.113345

31/01/2016

2.117958

2.112465

29/01/2016

2.117958

2.112465

28/01/2016

2.066737

2.061378

27/01/2016

2.068633

2.063268

25/01/2016

2.053383

2.048058

22/01/2016

2.075723

2.070340

21/01/2016

2.020118

2.014879

20/01/2016

2.005689

2.000488

19/01/2016

2.050178

2.044861

18/01/2016

2.044276

2.038974

15/01/2016

2.044592

2.039290

14/01/2016

2.090085

2.084665

13/01/2016

2.079012

2.073621

12/01/2016

2.106806

2.101343

11/01/2016

2.093905

2.088475

08/01/2016

2.096826

2.091389

07/01/2016

2.123368

2.117862

06/01/2016

2.173344

2.167707

05/01/2016

2.200984

2.195277

04/01/2016

2.197421

2.191722

31/12/2015

2.238342

2.232537

30/12/2015

2.251162

2.245324

29/12/2015

2.267394

2.261514

24/12/2015

2.247711

2.241882

23/12/2015

2.249889

2.244055

22/12/2015

2.218735

2.212981

21/12/2015

2.205551

2.199831