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

22/03/2021

1.458985

1.457236

19/03/2021

1.454081

1.452338

18/03/2021

1.446787

1.445053

17/03/2021

1.475261

1.473493

16/03/2021

1.465221

1.463464

15/03/2021

1.468385

1.466626

12/03/2021

1.456647

1.454901

11/03/2021

1.452746

1.451005

10/03/2021

1.446691

1.444957

09/03/2021

1.442471

1.440743

08/03/2021

1.427584

1.425873

05/03/2021

1.432153

1.430436

04/03/2021

1.393918

1.392247

03/03/2021

1.412776

1.411082

02/03/2021

1.424222

1.422515

01/03/2021

1.437124

1.435401

28/02/2021

1.416397

1.414699

26/02/2021

1.416397

1.414699

25/02/2021

1.393862

1.392191

24/02/2021

1.421187

1.419484

23/02/2021

1.416155

1.414457

22/02/2021

1.416749

1.415051

19/02/2021

1.432919

1.431202

18/02/2021

1.452443

1.450702

17/02/2021

1.459271

1.457522

16/02/2021

1.458638

1.456890

15/02/2021

1.458651

1.456902

12/02/2021

1.458682

1.456933

11/02/2021

1.450579

1.448841

10/02/2021

1.452248

1.450507