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

08/12/2021

3.962272

3.955942

07/12/2021

3.955117

3.948799

06/12/2021

3.867220

3.861042

03/12/2021

3.828753

3.822637

02/12/2021

3.855545

3.849386

01/12/2021

3.816414

3.810317

30/11/2021

3.844175

3.838034

29/11/2021

3.905727

3.899488

26/11/2021

3.868971

3.862791

25/11/2021

3.966372

3.960036

24/11/2021

3.965950

3.959615

23/11/2021

3.958650

3.952326

22/11/2021

3.963169

3.956838

19/11/2021

3.980420

3.974062

18/11/2021

3.987086

3.980717

17/11/2021

3.982904

3.976542

16/11/2021

3.993669

3.987289

15/11/2021

3.982077

3.975716

12/11/2021

3.980465

3.974106

11/11/2021

3.948205

3.941898

10/11/2021

3.939856

3.933562

09/11/2021

3.967438

3.961100

08/11/2021

3.979626

3.973269

05/11/2021

3.977627

3.971273

04/11/2021

3.971076

3.964732

03/11/2021

3.952358

3.946044

02/11/2021

3.933979

3.927695

01/11/2021

3.923520

3.917252

31/10/2021

3.906990

3.900749

29/10/2021

3.906990

3.900749