What can we help you find?

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 Super Plan

As of Date Entry Price Exit Price

21/11/2022

3.422213

3.416746

18/11/2022

3.431602

3.426120

17/11/2022

3.412849

3.407397

16/11/2022

3.424439

3.418969

15/11/2022

3.447487

3.441980

14/11/2022

3.426065

3.420592

11/11/2022

3.463550

3.458017

10/11/2022

3.427391

3.421916

09/11/2022

3.284464

3.279217

08/11/2022

3.340443

3.335107

07/11/2022

3.323179

3.317870

04/11/2022

3.294009

3.288747

03/11/2022

3.246093

3.240908

02/11/2022

3.276411

3.271177

01/11/2022

3.338522

3.333189

31/10/2022

3.346588

3.341242

28/10/2022

3.357839

3.352475

27/10/2022

3.299068

3.293798

26/10/2022

3.319186

3.313884

25/10/2022

3.335280

3.329952

24/10/2022

3.291682

3.286424

21/10/2022

3.255918

3.250717

20/10/2022

3.202995

3.197878

19/10/2022

3.223880

3.218730

18/10/2022

3.251050

3.245857

17/10/2022

3.211631

3.206501

14/10/2022

3.148005

3.142976

13/10/2022

3.196520

3.191414

12/10/2022

3.133763

3.128757

11/10/2022

3.141488

3.136470