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

09/10/2019

2.984033

2.978671

08/10/2019

2.963720

2.958394

04/10/2019

3.005381

2.999981

03/10/2019

2.971994

2.966655

02/10/2019

2.960004

2.954686

01/10/2019

3.014944

3.009527

30/09/2019

3.045274

3.039802

27/09/2019

3.035505

3.030051

26/09/2019

3.044683

3.039213

25/09/2019

3.044523

3.039052

24/09/2019

3.036195

3.030740

23/09/2019

3.054037

3.048549

20/09/2019

3.059943

3.054445

19/09/2019

3.068732

3.063218

18/09/2019

3.062607

3.057105

17/09/2019

3.063757

3.058253

16/09/2019

3.056568

3.051076

13/09/2019

3.067351

3.061839

12/09/2019

3.064684

3.059177

11/09/2019

3.055732

3.050242

10/09/2019

3.032585

3.027136

09/09/2019

3.029921

3.024477

06/09/2019

3.030616

3.025171

05/09/2019

3.026460

3.021023

04/09/2019

2.993218

2.987840

03/09/2019

2.965561

2.960233

02/09/2019

2.979224

2.973871

31/08/2019

2.979526

2.974172

30/08/2019

2.979526

2.974172

29/08/2019

2.971392

2.966053