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 (Hedged)

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

05/10/2018

2.987339

2.981376

04/10/2018

3.007139

3.001137

03/10/2018

3.032211

3.026159

02/10/2018

3.029867

3.023819

30/09/2018

3.024725

3.018687

28/09/2018

3.024725

3.018687

27/09/2018

3.030431

3.024382

26/09/2018

3.024964

3.018926

25/09/2018

3.027868

3.021824

24/09/2018

3.025180

3.019141

21/09/2018

3.034994

3.028936

20/09/2018

3.028805

3.022759

19/09/2018

3.007888

3.001884

18/09/2018

2.999245

2.993258

17/09/2018

2.982544

2.976590

14/09/2018

2.994734

2.988756

13/09/2018

2.989255

2.983289

12/09/2018

2.975036

2.969098

11/09/2018

2.972703

2.966769

10/09/2018

2.964076

2.958160

07/09/2018

2.958054

2.952150

06/09/2018

2.965141

2.959223

05/09/2018

2.977859

2.971915

04/09/2018

2.994446

2.988469

03/09/2018

3.004380

2.998383

31/08/2018

3.004717

2.998719

30/08/2018

3.011830

3.005818

29/08/2018

3.024545

3.018508

28/08/2018

3.011716

3.005705

27/08/2018

3.010776

3.004766

Integration: 20240923.2 - WEBSITE-1098-OptiUpgrade+ed8d8842b1aeb15d6ccbe8227b1b54d35052493f