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

02/03/2022

3.992858

3.986480

01/03/2022

3.941485

3.935189

28/02/2022

4.001448

3.995056

25/02/2022

4.007017

4.000616

24/02/2022

3.916710

3.910453

23/02/2022

3.902024

3.895791

22/02/2022

3.955413

3.949094

21/02/2022

4.000520

3.994129

18/02/2022

4.000593

3.994202

17/02/2022

4.030599

4.024160

16/02/2022

4.101120

4.094569

15/02/2022

4.096897

4.090352

14/02/2022

4.041565

4.035109

11/02/2022

4.071994

4.065489

10/02/2022

4.129285

4.122689

09/02/2022

4.182772

4.176090

08/02/2022

4.123025

4.116439

07/02/2022

4.097791

4.091245

04/02/2022

4.102091

4.095538

03/02/2022

4.086781

4.080253

02/02/2022

4.174332

4.167664

01/02/2022

4.144023

4.137403

31/01/2022

4.114115

4.107543

28/01/2022

4.040843

4.034388

27/01/2022

3.974653

3.968304

25/01/2022

3.991986

3.985609

24/01/2022

4.029064

4.022628

21/01/2022

4.051913

4.045440

20/01/2022

4.127843

4.121249

19/01/2022

4.151497

4.144865