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 Australian Shares Index

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

17/01/2022

2.555078

2.552525

14/01/2022

2.547300

2.544755

13/01/2022

2.573696

2.571125

12/01/2022

2.561996

2.559437

11/01/2022

2.545325

2.542782

10/01/2022

2.564583

2.562021

07/01/2022

2.567090

2.564525

06/01/2022

2.535632

2.533099

05/01/2022

2.605762

2.603159

04/01/2022

2.614075

2.611464

31/12/2021

2.556340

2.553786

30/12/2021

2.579535

2.576958

29/12/2021

2.575628

2.573055

24/12/2021

2.543730

2.541189

23/12/2021

2.533561

2.531030

22/12/2021

2.525699

2.523176

21/12/2021

2.521874

2.519355

20/12/2021

2.500680

2.498182

17/12/2021

2.506292

2.503788

16/12/2021

2.503499

2.500998

15/12/2021

2.512442

2.509932

14/12/2021

2.531447

2.528918

13/12/2021

2.532719

2.530189

10/12/2021

2.523737

2.521216

09/12/2021

2.531477

2.528948

08/12/2021

2.537490

2.534955

07/12/2021

2.506449

2.503945

06/12/2021

2.482765

2.480285

03/12/2021

2.483937

2.481456

02/12/2021

2.480339

2.477861