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

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

22/08/2022

1.635082

1.633122

19/08/2022

1.667053

1.665055

18/08/2022

1.671632

1.669628

17/08/2022

1.676926

1.674916

16/08/2022

1.665616

1.663620

15/08/2022

1.659169

1.657180

12/08/2022

1.639504

1.637539

11/08/2022

1.615567

1.613631

10/08/2022

1.621706

1.619762

09/08/2022

1.615212

1.613276

08/08/2022

1.617097

1.615159

05/08/2022

1.633931

1.631973

04/08/2022

1.629245

1.627292

03/08/2022

1.636310

1.634349

02/08/2022

1.611327

1.609396

31/07/2022

1.617691

1.615752

29/07/2022

1.617691

1.615752

28/07/2022

1.598326

1.596410

27/07/2022

1.587619

1.585716

26/07/2022

1.549076

1.547219

25/07/2022

1.567794

1.565915

22/07/2022

1.564210

1.562335

21/07/2022

1.586641

1.584739

20/07/2022

1.573062

1.571177

19/07/2022

1.564196

1.562321

18/07/2022

1.539891

1.538045

15/07/2022

1.553687

1.551825

14/07/2022

1.545088

1.543236

13/07/2022

1.539339

1.537494

12/07/2022

1.550992

1.549133