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

13/12/2022

3.702454

3.696540

12/12/2022

3.674338

3.668468

09/12/2022

3.641228

3.635411

08/12/2022

3.653022

3.647187

07/12/2022

3.633641

3.627836

06/12/2022

3.644370

3.638548

05/12/2022

3.687772

3.681881

02/12/2022

3.738328

3.732356

01/12/2022

3.746762

3.740777

30/11/2022

3.743810

3.737829

29/11/2022

3.660660

3.654812

28/11/2022

3.664883

3.659029

25/11/2022

3.709469

3.703543

24/11/2022

3.704042

3.698125

23/11/2022

3.704191

3.698274

22/11/2022

3.687300

3.681410

21/11/2022

3.646760

3.640935

18/11/2022

3.657694

3.651851

17/11/2022

3.640488

3.634673

16/11/2022

3.649794

3.643964

15/11/2022

3.676677

3.670804

14/11/2022

3.650282

3.644451

11/11/2022

3.674655

3.668785

10/11/2022

3.641985

3.636167

09/11/2022

3.488128

3.482556

08/11/2022

3.544923

3.539260

07/11/2022

3.522235

3.516608

04/11/2022

3.494563

3.488981

03/11/2022

3.450481

3.444969

02/11/2022

3.482899

3.477335