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

02/03/2020

1.346620

1.345006

29/02/2020

1.317322

1.315743

28/02/2020

1.317322

1.315743

27/02/2020

1.312282

1.310709

26/02/2020

1.365372

1.363735

25/02/2020

1.360500

1.358870

24/02/2020

1.393983

1.392312

21/02/2020

1.433400

1.431682

20/02/2020

1.444963

1.443231

19/02/2020

1.441493

1.439765

18/02/2020

1.430669

1.428955

17/02/2020

1.432075

1.430358

14/02/2020

1.432217

1.430501

13/02/2020

1.428300

1.426588

12/02/2020

1.428202

1.426491

11/02/2020

1.425473

1.423764

10/02/2020

1.429730

1.428016

07/02/2020

1.423033

1.421328

06/02/2020

1.419277

1.417576

05/02/2020

1.411528

1.409837

04/02/2020

1.402768

1.401087

03/02/2020

1.390065

1.388399

31/01/2020

1.384751

1.383092

30/01/2020

1.400059

1.398381

29/01/2020

1.393370

1.391700

28/01/2020

1.391173

1.389506

24/01/2020

1.388799

1.387134

23/01/2020

1.391189

1.389521

22/01/2020

1.394824

1.393152

21/01/2020

1.390640

1.388973