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

16/06/2015

1.478467

1.474780

15/06/2015

1.479918

1.476228

12/06/2015

1.482263

1.478567

11/06/2015

1.485190

1.481486

10/06/2015

1.465613

1.461958

09/06/2015

1.463886

1.460235

05/06/2015

1.470719

1.467052

04/06/2015

1.472340

1.468668

03/06/2015

1.491970

1.488250

02/06/2015

1.505203

1.501450

01/06/2015

1.529955

1.526139

31/05/2015

1.540752

1.536910

29/05/2015

1.540752

1.536910

28/05/2015

1.524876

1.521074

27/05/2015

1.527841

1.524031

26/05/2015

1.539456

1.535617

25/05/2015

1.526882

1.523074

22/05/2015

1.513005

1.509232

21/05/2015

1.512087

1.508316

20/05/2015

1.499550

1.495811

19/05/2015

1.500845

1.497102

18/05/2015

1.511717

1.507948

15/05/2015

1.530169

1.526353

14/05/2015

1.517903

1.514118

13/05/2015

1.522581

1.518784

12/05/2015

1.509794

1.506029

11/05/2015

1.497462

1.493728

08/05/2015

1.499896

1.496155

07/05/2015

1.500356

1.496615

06/05/2015

1.511974

1.508203