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

23/03/2020

2.183733

2.178939

20/03/2020

2.264861

2.259889

19/03/2020

2.335092

2.329966

18/03/2020

2.296125

2.292457

17/03/2020

2.431603

2.427719

16/03/2020

2.330667

2.326944

13/03/2020

2.594836

2.590691

12/03/2020

2.447758

2.443848

11/03/2020

2.718492

2.714149

10/03/2020

2.820020

2.815515

09/03/2020

2.740493

2.736116

06/03/2020

2.952715

2.947998

05/03/2020

3.020921

3.016095

04/03/2020

3.096304

3.091358

03/03/2020

3.004351

2.999552

02/03/2020

3.057419

3.052535

29/02/2020

2.961715

2.956984

28/02/2020

2.961715

2.956984

27/02/2020

3.018556

3.013734

26/02/2020

3.139629

3.134614

25/02/2020

3.151472

3.146438

24/02/2020

3.240063

3.234887

21/02/2020

3.341508

3.336170

20/02/2020

3.371734

3.366348

19/02/2020

3.384445

3.379039

18/02/2020

3.362832

3.357461

17/02/2020

3.376807

3.371413

14/02/2020

3.377191

3.371796

13/02/2020

3.374319

3.368929

12/02/2020

3.379524

3.374125