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

04/01/2016

2.197421

2.191722

31/12/2015

2.238342

2.232537

30/12/2015

2.251162

2.245324

29/12/2015

2.267394

2.261514

24/12/2015

2.247711

2.241882

23/12/2015

2.249889

2.244055

22/12/2015

2.218735

2.212981

21/12/2015

2.205551

2.199831

18/12/2015

2.200301

2.194595

17/12/2015

2.232365

2.226576

16/12/2015

2.243920

2.238101

15/12/2015

2.214120

2.208378

14/12/2015

2.187659

2.181986

11/12/2015

2.194928

2.189236

10/12/2015

2.232420

2.226631

09/12/2015

2.232506

2.226716

08/12/2015

2.247664

2.241835

07/12/2015

2.268547

2.262664

04/12/2015

2.276071

2.270169

03/12/2015

2.255613

2.249763

02/12/2015

2.290959

2.285018

01/12/2015

2.304331

2.298355

30/11/2015

2.287694

2.281761

27/11/2015

2.294749

2.288798

26/11/2015

2.289839

2.283901

25/11/2015

2.289913

2.283974

24/11/2015

2.284005

2.278082

23/11/2015

2.284871

2.278945

20/11/2015

2.291256

2.285314

19/11/2015

2.284071

2.278148