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

01/07/2024

2.229531

2.226859

30/06/2024

2.213772

2.211119

28/06/2024

2.213772

2.211119

27/06/2024

2.227849

2.225179

26/06/2024

2.228820

2.226149

25/06/2024

2.233098

2.230421

24/06/2024

2.219677

2.217017

21/06/2024

2.225793

2.223125

20/06/2024

2.223877

2.221212

19/06/2024

2.233944

2.231266

18/06/2024

2.233959

2.231281

17/06/2024

2.241442

2.238755

14/06/2024

2.225329

2.222662

13/06/2024

2.222273

2.219609

12/06/2024

2.212369

2.209717

11/06/2024

2.221303

2.218641

07/06/2024

2.221221

2.218559

06/06/2024

2.208523

2.205876

05/06/2024

2.211651

2.209000

04/06/2024

2.186867

2.184246

03/06/2024

2.176220

2.173612

31/05/2024

2.180303

2.177690

30/05/2024

2.167341

2.164743

29/05/2024

2.180336

2.177723

28/05/2024

2.187396

2.184774

27/05/2024

2.197197

2.194564

24/05/2024

2.197248

2.194614

23/05/2024

2.187766

2.185144

22/05/2024

2.194761

2.192130

21/05/2024

2.194118

2.191488