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

09/02/2017

2.487142

2.481187

08/02/2017

2.474576

2.468651

07/02/2017

2.471557

2.465640

06/02/2017

2.470451

2.464536

03/02/2017

2.476914

2.470983

02/02/2017

2.461567

2.455673

01/02/2017

2.462781

2.456885

31/01/2017

2.458088

2.452203

30/01/2017

2.462987

2.457090

27/01/2017

2.481708

2.475766

25/01/2017

2.480778

2.474839

24/01/2017

2.461103

2.455210

23/01/2017

2.450019

2.444153

20/01/2017

2.460076

2.454186

19/01/2017

2.454097

2.448221

18/01/2017

2.458089

2.452204

17/01/2017

2.452881

2.447008

16/01/2017

2.469458

2.463545

13/01/2017

2.469738

2.463825

12/01/2017

2.459496

2.453608

11/01/2017

2.468555

2.462645

10/01/2017

2.461346

2.455453

09/01/2017

2.461721

2.455827

06/01/2017

2.466488

2.460582

05/01/2017

2.460693

2.454801

04/01/2017

2.459104

2.453216

03/01/2017

2.445751

2.439895

31/12/2016

2.424561

2.418756

30/12/2016

2.424561

2.418756

29/12/2016

2.433300

2.427474