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

12/11/2018

1.113264

1.111708

09/11/2018

1.124814

1.123242

08/11/2018

1.128270

1.126693

07/11/2018

1.130971

1.129390

06/11/2018

1.121238

1.119670

05/11/2018

1.119291

1.117726

02/11/2018

1.118225

1.116662

01/11/2018

1.122325

1.120756

31/10/2018

1.127428

1.125851

30/10/2018

1.110934

1.109160

29/10/2018

1.104412

1.102648

26/10/2018

1.109330

1.107558

25/10/2018

1.121960

1.120167

24/10/2018

1.111686

1.109910

23/10/2018

1.139320

1.137500

22/10/2018

1.144534

1.142706

19/10/2018

1.142267

1.140442

18/10/2018

1.143540

1.141713

17/10/2018

1.158689

1.156838

16/10/2018

1.157750

1.155900

15/10/2018

1.136918

1.135102

12/10/2018

1.145312

1.143483

11/10/2018

1.136487

1.134671

10/10/2018

1.160772

1.158918

09/10/2018

1.191389

1.189486

08/10/2018

1.194871

1.192962

05/10/2018

1.200495

1.198578

04/10/2018

1.203731

1.201808

03/10/2018

1.203033

1.201112

02/10/2018

1.195474

1.193564