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Unit Prices

Vanguard International Shares Index (Hedged)

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

08/07/2016

2.234885

2.229089

07/07/2016

2.211410

2.205675

06/07/2016

2.208866

2.203138

05/07/2016

2.210768

2.205035

04/07/2016

2.228356

2.222577

01/07/2016

2.228574

2.222795

30/06/2016

2.219817

2.214060

29/06/2016

2.195019

2.189327

28/06/2016

2.153066

2.147483

27/06/2016

2.116810

2.111320

24/06/2016

2.156190

2.150598

23/06/2016

2.247530

2.241701

22/06/2016

2.219744

2.213988

21/06/2016

2.221224

2.215464

20/06/2016

2.212726

2.206988

17/06/2016

2.182465

2.176805

16/06/2016

2.180061

2.174408

15/06/2016

2.185562

2.179895

14/06/2016

2.181499

2.175842

10/06/2016

2.222571

2.216808

09/06/2016

2.249213

2.243380

08/06/2016

2.258818

2.252960

07/06/2016

2.255822

2.249972

06/06/2016

2.247678

2.241849

03/06/2016

2.238883

2.233077

02/06/2016

2.244134

2.238315

01/06/2016

2.242136

2.236321

31/05/2016

2.247144

2.241316

30/05/2016

2.246192

2.240367

27/05/2016

2.246366

2.240540