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Unit Prices

Vanguard International Shares Index (Hedged)

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

08/01/2024

4.291952

4.285952

05/01/2024

4.245120

4.239185

04/01/2024

4.239704

4.233777

03/01/2024

4.243502

4.237569

02/01/2024

4.277459

4.271479

31/12/2023

4.299184

4.293174

29/12/2023

4.299184

4.293174

28/12/2023

4.305555

4.299536

27/12/2023

4.306418

4.300397

22/12/2023

4.283917

4.277928

21/12/2023

4.277217

4.271237

20/12/2023

4.249955

4.244013

19/12/2023

4.291887

4.285887

18/12/2023

4.270127

4.264157

15/12/2023

4.258489

4.252535

14/12/2023

4.259773

4.253818

13/12/2023

4.247657

4.241719

12/12/2023

4.203268

4.197392

11/12/2023

4.191565

4.185705

08/12/2023

4.173997

4.168162

07/12/2023

4.157983

4.152170

06/12/2023

4.139582

4.133795

05/12/2023

4.143811

4.138018

04/12/2023

4.145961

4.140165

01/12/2023

4.165320

4.159497

30/11/2023

4.138832

4.133046

29/11/2023

4.123360

4.117595

28/11/2023

4.121284

4.115522

27/11/2023

4.122149

4.116386

24/11/2023

4.132289

4.126512