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Unit Prices

Vanguard International Shares Index (Hedged)

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

05/02/2015

2.226530

2.219649

04/02/2015

2.212154

2.205317

03/02/2015

2.213553

2.206712

02/02/2015

2.188890

2.182126

31/01/2015

2.170179

2.163472

30/01/2015

2.170179

2.163472

29/01/2015

2.190267

2.183498

28/01/2015

2.178712

2.171978

27/01/2015

2.196430

2.189642

23/01/2015

2.204660

2.197846

22/01/2015

2.201092

2.194290

21/01/2015

2.175113

2.168391

20/01/2015

2.164743

2.158053

19/01/2015

2.148791

2.142151

16/01/2015

2.149889

2.142390

15/01/2015

2.133843

2.126401

14/01/2015

2.141565

2.134095

13/01/2015

2.160879

2.153343

12/01/2015

2.157267

2.149743

09/01/2015

2.165687

2.158134

08/01/2015

2.183696

2.176080

07/01/2015

2.142150

2.134679

06/01/2015

2.124314

2.116905

05/01/2015

2.144417

2.136938

02/01/2015

2.184985

2.177365

31/12/2014

2.184871

2.177250

30/12/2014

2.197666

2.190001

29/12/2014

2.213566

2.205846

24/12/2014

2.206086

2.198391

23/12/2014

2.204117

2.196429

Integration: 20241104.3 - develop+9b9ea19dbc3c75b702dd4625973ea56576292211