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

18/07/2023

4.121118

4.115357

17/07/2023

4.094773

4.089048

14/07/2023

4.086484

4.080771

13/07/2023

4.089442

4.083725

12/07/2023

4.055979

4.050309

11/07/2023

4.026702

4.021072

10/07/2023

4.002864

3.997268

07/07/2023

3.994156

3.988572

06/07/2023

4.005067

3.999468

05/07/2023

4.051983

4.046318

04/07/2023

4.065409

4.059725

03/07/2023

4.065437

4.059753

01/07/2023

4.065437

4.059753

30/06/2023

4.058667

4.052993

29/06/2023

4.018471

4.012853

28/06/2023

4.007277

4.001675

27/06/2023

3.994757

3.989172

26/06/2023

3.961286

3.955748

23/06/2023

3.973494

3.967939

22/06/2023

4.001180

3.995586

21/06/2023

3.995443

3.989857

20/06/2023

4.013510

4.007899

19/06/2023

4.036613

4.030970

16/06/2023

4.036698

4.031055

15/06/2023

4.043020

4.037368

14/06/2023

4.011581

4.005973

13/06/2023

4.004476

3.998878

09/06/2023

3.948366

3.942846

08/06/2023

3.945035

3.939520

07/06/2023

3.930797

3.925302