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

13/04/2018

1.056638

1.054951

12/04/2018

1.060218

1.058524

11/04/2018

1.054380

1.052695

10/04/2018

1.060139

1.058445

09/04/2018

1.054446

1.052762

06/04/2018

1.051296

1.049617

05/04/2018

1.064818

1.063117

04/04/2018

1.052478

1.050797

03/04/2018

1.049455

1.047778

31/03/2018

1.058650

1.056959

29/03/2018

1.058650

1.056959

28/03/2018

1.050536

1.048858

27/03/2018

1.048021

1.046347

26/03/2018

1.054288

1.052604

23/03/2018

1.036607

1.034952

22/03/2018

1.058429

1.056738

21/03/2018

1.074046

1.072330

20/03/2018

1.077950

1.076228

19/03/2018

1.075436

1.073718

16/03/2018

1.083809

1.082078

15/03/2018

1.072304

1.070592

14/03/2018

1.063793

1.062094

13/03/2018

1.068449

1.066742

12/03/2018

1.075477

1.073759

09/03/2018

1.077108

1.075388

08/03/2018

1.072611

1.070898

07/03/2018

1.064075

1.062375

06/03/2018

1.063859

1.062160

05/03/2018

1.067450

1.065745

02/03/2018

1.059443

1.057751