What can we help you find?
Search by Topic

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

19/06/2019

1.246771

1.245028

18/06/2019

1.241291

1.239555

17/06/2019

1.232371

1.230648

14/06/2019

1.227861

1.226145

13/06/2019

1.225321

1.223608

12/06/2019

1.217392

1.215690

11/06/2019

1.219194

1.217490

07/06/2019

1.202368

1.200687

06/06/2019

1.195421

1.193750

05/06/2019

1.189685

1.188021

04/06/2019

1.180654

1.179004

03/06/2019

1.166078

1.164447

31/05/2019

1.170770

1.169134

30/05/2019

1.186981

1.185321

29/05/2019

1.184219

1.182564

28/05/2019

1.191859

1.190192

27/05/2019

1.200335

1.198657

24/05/2019

1.200448

1.198769

23/05/2019

1.200689

1.199010

22/05/2019

1.216496

1.214795

21/05/2019

1.218464

1.216761

20/05/2019

1.205770

1.204085

17/05/2019

1.219354

1.217649

16/05/2019

1.219899

1.218193

15/05/2019

1.206119

1.204432

14/05/2019

1.197326

1.195652

13/05/2019

1.188101

1.186440

10/05/2019

1.203806

1.202123

09/05/2019

1.202660

1.200979

08/05/2019

1.203688

1.202006