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

08/01/2024

1.963763

1.961409

05/01/2024

1.935985

1.933665

04/01/2024

1.939082

1.936758

03/01/2024

1.939033

1.936709

02/01/2024

1.941054

1.938728

31/12/2023

1.940062

1.937737

29/12/2023

1.940062

1.937737

28/12/2023

1.934816

1.932497

27/12/2023

1.936459

1.934138

22/12/2023

1.935006

1.932687

21/12/2023

1.935837

1.933517

20/12/2023

1.925352

1.923044

19/12/2023

1.947597

1.945263

18/12/2023

1.954498

1.952155

15/12/2023

1.942992

1.940663

14/12/2023

1.951372

1.949033

13/12/2023

1.968432

1.966073

12/12/2023

1.954355

1.952013

11/12/2023

1.946063

1.943731

08/12/2023

1.933706

1.931388

07/12/2023

1.925288

1.922980

06/12/2023

1.918385

1.916086

05/12/2023

1.925888

1.923580

04/12/2023

1.912159

1.909867

01/12/2023

1.915422

1.913126

30/11/2023

1.905947

1.903663

29/11/2023

1.901687

1.899408

28/11/2023

1.895524

1.893252

27/11/2023

1.904457

1.902174

24/11/2023

1.912946

1.910653