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 Australian Shares Index

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

31/07/2019

2.141920

2.139353

30/07/2019

2.151788

2.149209

29/07/2019

2.146124

2.143552

26/07/2019

2.136198

2.133638

25/07/2019

2.144176

2.141606

24/07/2019

2.132083

2.129527

23/07/2019

2.116709

2.114172

22/07/2019

2.106773

2.104248

19/07/2019

2.109288

2.106760

18/07/2019

2.093679

2.091169

17/07/2019

2.099744

2.097227

16/07/2019

2.091302

2.088795

15/07/2019

2.094985

2.092474

12/07/2019

2.107407

2.104881

11/07/2019

2.113964

2.111430

10/07/2019

2.105993

2.103469

09/07/2019

2.098385

2.095870

08/07/2019

2.100586

2.098069

05/07/2019

2.124517

2.121971

04/07/2019

2.114606

2.112072

03/07/2019

2.104635

2.102112

02/07/2019

2.094998

2.092487

01/07/2019

2.093126

2.090617

30/06/2019

2.067478

2.065000

28/06/2019

2.067478

2.065000

27/06/2019

2.082769

2.080272

26/06/2019

2.071223

2.068741

25/06/2019

2.076702

2.074213

24/06/2019

2.079364

2.076871

21/06/2019

2.075236

2.072748