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

10/05/2023

1.733077

1.731000

09/05/2023

1.728443

1.726371

08/05/2023

1.727781

1.725710

05/05/2023

1.737054

1.734972

04/05/2023

1.728792

1.726720

03/05/2023

1.738472

1.736388

02/05/2023

1.744917

1.742826

01/05/2023

1.766959

1.764841

30/04/2023

1.778890

1.776758

28/04/2023

1.778890

1.776758

27/04/2023

1.763659

1.761545

26/04/2023

1.742946

1.740857

24/04/2023

1.749267

1.747170

21/04/2023

1.749178

1.747082

20/04/2023

1.727552

1.725481

19/04/2023

1.745561

1.743469

18/04/2023

1.744110

1.742020

17/04/2023

1.749919

1.747822

14/04/2023

1.742606

1.740517

13/04/2023

1.731485

1.729410

12/04/2023

1.729616

1.727543

11/04/2023

1.739832

1.737747

06/04/2023

1.733089

1.731012

05/04/2023

1.717372

1.715314

04/04/2023

1.715257

1.713201

03/04/2023

1.710459

1.708409

31/03/2023

1.725079

1.723011

30/03/2023

1.703507

1.701465

29/03/2023

1.696047

1.694014

28/03/2023

1.670354

1.668352