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Unit Prices

Vanguard International Shares Index

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

05/11/2024

2.348870

2.346055

04/11/2024

2.337352

2.334551

01/11/2024

2.344698

2.341888

31/10/2024

2.348106

2.345292

30/10/2024

2.376172

2.373324

29/10/2024

2.390670

2.387805

28/10/2024

2.380622

2.377769

25/10/2024

2.352852

2.350032

24/10/2024

2.357694

2.354868

23/10/2024

2.350799

2.347981

22/10/2024

2.354519

2.351697

21/10/2024

2.364186

2.361352

18/10/2024

2.360376

2.357547

17/10/2024

2.351905

2.349086

16/10/2024

2.363502

2.360669

15/10/2024

2.340941

2.338135

14/10/2024

2.354171

2.351349

11/10/2024

2.334434

2.331636

10/10/2024

2.329374

2.326582

09/10/2024

2.335508

2.332709

08/10/2024

2.315543

2.312768

04/10/2024

2.294649

2.291899

03/10/2024

2.266613

2.263896

02/10/2024

2.259598

2.256890

01/10/2024

2.261501

2.258790

30/09/2024

2.263030

2.260318

27/09/2024

2.268017

2.265299

26/09/2024

2.277253

2.274524

25/09/2024

2.270513

2.267792

24/09/2024

2.272604

2.269880