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 Account Based Pension Plan

As of Date Entry Price Exit Price

05/03/2021

3.610276

3.604509

04/03/2021

3.570903

3.565198

03/03/2021

3.611348

3.605579

02/03/2021

3.645198

3.639375

01/03/2021

3.667208

3.661350

28/02/2021

3.588384

3.582651

26/02/2021

3.588384

3.582651

25/02/2021

3.618175

3.612396

24/02/2021

3.676036

3.670164

23/02/2021

3.654606

3.648768

22/02/2021

3.653530

3.647694

19/02/2021

3.681039

3.675159

18/02/2021

3.682539

3.676657

17/02/2021

3.702153

3.696239

16/02/2021

3.709788

3.703862

15/02/2021

3.699230

3.693320

12/02/2021

3.699308

3.693398

11/02/2021

3.682703

3.676820

10/02/2021

3.674414

3.668544

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