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

17/06/2021

1.593705

1.591795

16/06/2021

1.571347

1.569463

15/06/2021

1.581647

1.579751

11/06/2021

1.575170

1.573282

10/06/2021

1.564052

1.562178

09/06/2021

1.560355

1.558485

08/06/2021

1.559916

1.558046

07/06/2021

1.557616

1.555749

04/06/2021

1.560287

1.558417

03/06/2021

1.560369

1.558498

02/06/2021

1.551311

1.549451

01/06/2021

1.547271

1.545416

31/05/2021

1.556214

1.554349

28/05/2021

1.556250

1.554384

27/05/2021

1.543684

1.541834

26/05/2021

1.544145

1.542294

25/05/2021

1.539997

1.538151

24/05/2021

1.541582

1.539734

21/05/2021

1.532072

1.530235

20/05/2021

1.525073

1.523246

19/05/2021

1.513598

1.511784

18/05/2021

1.513774

1.511959

17/05/2021

1.522291

1.520466

14/05/2021

1.523907

1.522080

13/05/2021

1.507320

1.505513

12/05/2021

1.494949

1.493157

11/05/2021

1.505142

1.503338

10/05/2021

1.515278

1.513462

07/05/2021

1.529886

1.528052

06/05/2021

1.530582

1.528748