What can we help you find?
Search by Topic

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

13/11/2014

2.157789

2.150263

12/11/2014

2.153877

2.146364

11/11/2014

2.158141

2.150614

10/11/2014

2.152763

2.145254

07/11/2014

2.144814

2.137333

06/11/2014

2.145429

2.137947

05/11/2014

2.139692

2.132229

04/11/2014

2.123121

2.115716

03/11/2014

2.128209

2.120786

31/10/2014

2.133159

2.125719

30/10/2014

2.101423

2.094094

29/10/2014

2.090117

2.082827

28/10/2014

2.088870

2.081584

27/10/2014

2.068086

2.060873

24/10/2014

2.071760

2.064534

23/10/2014

2.063376

2.056180

22/10/2014

2.044664

2.037532

21/10/2014

2.047478

2.040336

20/10/2014

2.014998

2.007971

17/10/2014

1.999502

1.992529

16/10/2014

1.973600

1.966717

15/10/2014

1.977797

1.970899

14/10/2014

2.001118

1.994139

13/10/2014

2.002978

1.995992

10/10/2014

2.021722

2.014670

09/10/2014

2.049357

2.042209

08/10/2014

2.078512

2.071262

07/10/2014

2.063523

2.056326

03/10/2014

2.089775

2.082486

02/10/2014

2.070274

2.063053