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Unit Prices

Vanguard International Shares Index

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

03/02/2022

1.730234

1.728160

02/02/2022

1.771537

1.769414

01/02/2022

1.758400

1.756292

31/01/2022

1.759068

1.756960

28/01/2022

1.741107

1.739020

27/01/2022

1.697972

1.695937

25/01/2022

1.687372

1.685350

24/01/2022

1.712065

1.710013

21/01/2022

1.701525

1.699486

20/01/2022

1.713045

1.710992

19/01/2022

1.734550

1.732471

18/01/2022

1.756780

1.754674

17/01/2022

1.773802

1.771676

14/01/2022

1.773827

1.771701

13/01/2022

1.761781

1.759669

12/01/2022

1.787515

1.785373

11/01/2022

1.797692

1.795537

10/01/2022

1.787028

1.784886

07/01/2022

1.792606

1.790457

06/01/2022

1.798560

1.796404

05/01/2022

1.780135

1.778001

04/01/2022

1.810998

1.808827

31/12/2021

1.796454

1.794301

30/12/2021

1.803309

1.801148

29/12/2021

1.804963

1.802800

24/12/2021

1.789211

1.787067

23/12/2021

1.789222

1.787078

22/12/2021

1.786536

1.784395

21/12/2021

1.786331

1.784190

20/12/2021

1.763412

1.761298