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

09/02/2021

3.674442

3.668572

08/02/2021

3.675218

3.669347

05/02/2021

3.648883

3.643054

04/02/2021

3.634756

3.628950

03/02/2021

3.604692

3.598933

02/02/2021

3.598226

3.592478

01/02/2021

3.551702

3.546029

31/01/2021

3.500057

3.494466

29/01/2021

3.500057

3.494466

28/01/2021

3.562925

3.557234

27/01/2021

3.541260

3.535603

25/01/2021

3.618283

3.612503

22/01/2021

3.614461

3.608687

21/01/2021

3.624192

3.618403

20/01/2021

3.623433

3.617645

19/01/2021

3.588630

3.582898

18/01/2021

3.567913

3.562214

15/01/2021

3.567963

3.562264

14/01/2021

3.592763

3.587024

13/01/2021

3.596019

3.590274

12/01/2021

3.591017

3.585281

11/01/2021

3.588171

3.582439

08/01/2021

3.607241

3.601478

07/01/2021

3.586089

3.580360

06/01/2021

3.540170

3.534515

05/01/2021

3.518293

3.512673

04/01/2021

3.501440

3.495846

31/12/2020

3.527360

3.521725

30/12/2020

3.522237

3.516611

29/12/2020

3.522649

3.517022