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

05/04/2024

4.680276

4.673733

04/04/2024

4.653950

4.647444

03/04/2024

4.690016

4.683459

02/04/2024

4.683777

4.677229

31/03/2024

4.723010

4.716407

28/03/2024

4.723010

4.716407

27/03/2024

4.723603

4.716999

26/03/2024

4.691654

4.685095

25/03/2024

4.697948

4.691380

22/03/2024

4.711436

4.704849

21/03/2024

4.714817

4.708225

20/03/2024

4.689351

4.682795

19/03/2024

4.657163

4.650652

18/03/2024

4.633122

4.626645

15/03/2024

4.608254

4.601811

14/03/2024

4.631448

4.624973

13/03/2024

4.642198

4.635708

11/03/2024

4.602029

4.595595

07/03/2024

4.635869

4.629388

06/03/2024

4.594063

4.587640

05/03/2024

4.571080

4.564689

04/03/2024

4.608934

4.602491

01/03/2024

4.611553

4.605106

29/02/2024

4.574664

4.568268

28/02/2024

4.556704

4.550334

27/02/2024

4.564685

4.558303

26/02/2024

4.557167

4.550796

23/02/2024

4.569020

4.562632

22/02/2024

4.565146

4.558764

21/02/2024

4.485827

4.479556