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

02/12/2021

4.176590

4.169918

01/12/2021

4.143431

4.136812

30/11/2021

4.168463

4.161804

29/11/2021

4.242617

4.235840

26/11/2021

4.204372

4.197656

25/11/2021

4.305187

4.298310

24/11/2021

4.305303

4.298426

23/11/2021

4.299421

4.292553

22/11/2021

4.304932

4.298055

19/11/2021

4.322303

4.315398

18/11/2021

4.330337

4.323420

17/11/2021

4.324477

4.317569

16/11/2021

4.335446

4.328520

15/11/2021

4.320316

4.313415

12/11/2021

4.317865

4.310967

11/11/2021

4.287075

4.280227

10/11/2021

4.279502

4.272666

09/11/2021

4.307791

4.300910

08/11/2021

4.319591

4.312691

05/11/2021

4.315458

4.308564

04/11/2021

4.306637

4.299757

03/11/2021

4.286036

4.279189

02/11/2021

4.265008

4.258195

01/11/2021

4.253815

4.247020

31/10/2021

4.234661

4.227896

29/10/2021

4.234661

4.227896

28/10/2021

4.229914

4.223157

27/10/2021

4.201680

4.194968

26/10/2021

4.222642

4.215897

25/10/2021

4.210303

4.203577