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

10/12/2018

2.723112

2.718219

07/12/2018

2.734488

2.729574

06/12/2018

2.771220

2.766241

05/12/2018

2.807556

2.802512

04/12/2018

2.807668

2.802623

03/12/2018

2.878207

2.873035

30/11/2018

2.846807

2.841692

29/11/2018

2.833642

2.828551

28/11/2018

2.833884

2.828792

27/11/2018

2.791773

2.786757

26/11/2018

2.787331

2.782322

23/11/2018

2.752097

2.747152

22/11/2018

2.765807

2.760838

21/11/2018

2.765993

2.761023

20/11/2018

2.752491

2.747546

19/11/2018

2.794379

2.789358

16/11/2018

2.827090

2.822010

15/11/2018

2.824760

2.819684

14/11/2018

2.808118

2.803072

13/11/2018

2.823160

2.818088

12/11/2018

2.827134

2.822054

09/11/2018

2.868611

2.863457

08/11/2018

2.889301

2.884110

07/11/2018

2.889777

2.884585

06/11/2018

2.846645

2.841530

05/11/2018

2.834932

2.829838

02/11/2018

2.831615

2.826527

01/11/2018

2.836271

2.831175

31/10/2018

2.815142

2.810084

30/10/2018

2.782128

2.776575