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

24/01/2022

3.723352

3.717404

21/01/2022

3.742514

3.736536

20/01/2022

3.810393

3.804306

19/01/2022

3.827015

3.820902

18/01/2022

3.860167

3.854001

17/01/2022

3.914524

3.908271

14/01/2022

3.910001

3.903755

13/01/2022

3.918305

3.912046

12/01/2022

3.965319

3.958985

11/01/2022

3.951772

3.945459

10/01/2022

3.916510

3.910254

07/01/2022

3.928664

3.922388

06/01/2022

3.940384

3.934089

05/01/2022

3.951916

3.945603

04/01/2022

4.011911

4.005502

31/12/2021

3.985852

3.979485

30/12/2021

4.000240

3.993850

29/12/2021

4.007353

4.000951

24/12/2021

3.966895

3.960558

23/12/2021

3.970262

3.963920

22/12/2021

3.949891

3.943581

21/12/2021

3.911645

3.905396

20/12/2021

3.841019

3.834883

17/12/2021

3.887579

3.881369

16/12/2021

3.924989

3.918719

15/12/2021

3.938397

3.932106

14/12/2021

3.885297

3.879090

13/12/2021

3.915046

3.908792

10/12/2021

3.942933

3.936634

09/12/2021

3.925381

3.919110