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 Account Based Pension Plan

As of Date Entry Price Exit Price

02/01/2020

1.346003

1.344390

31/12/2019

1.331794

1.330197

30/12/2019

1.334456

1.332857

27/12/2019

1.343230

1.341620

24/12/2019

1.346077

1.344464

23/12/2019

1.347442

1.345827

20/12/2019

1.349397

1.347780

19/12/2019

1.349034

1.347418

18/12/2019

1.348227

1.346611

17/12/2019

1.351275

1.349655

16/12/2019

1.343971

1.342360

13/12/2019

1.338437

1.336833

12/12/2019

1.327531

1.325940

11/12/2019

1.328248

1.326656

10/12/2019

1.333951

1.332352

09/12/2019

1.330834

1.329238

06/12/2019

1.333667

1.332069

05/12/2019

1.324672

1.323084

04/12/2019

1.317877

1.316298

03/12/2019

1.312392

1.310819

02/12/2019

1.324361

1.322773

30/11/2019

1.343530

1.341920

29/11/2019

1.343530

1.341920

28/11/2019

1.345982

1.344368

27/11/2019

1.346028

1.344415

26/11/2019

1.341014

1.339406

25/11/2019

1.341215

1.339607

22/11/2019

1.329155

1.327562

21/11/2019

1.325185

1.323596

20/11/2019

1.325956

1.324367