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

08/12/2017

2.844217

2.838540

07/12/2017

2.826431

2.820790

06/12/2017

2.817398

2.811774

05/12/2017

2.820547

2.814918

04/12/2017

2.827311

2.821668

01/12/2017

2.828318

2.822672

30/11/2017

2.836110

2.830449

29/11/2017

2.823552

2.817916

28/11/2017

2.823724

2.818087

27/11/2017

2.803207

2.797611

24/11/2017

2.808251

2.802646

23/11/2017

2.802279

2.796685

22/11/2017

2.802383

2.796789

21/11/2017

2.804532

2.798934

20/11/2017

2.787680

2.782115

17/11/2017

2.783607

2.778051

16/11/2017

2.787445

2.781881

15/11/2017

2.766856

2.761333

14/11/2017

2.784609

2.779051

13/11/2017

2.791494

2.785922

10/11/2017

2.794878

2.789299

09/11/2017

2.801405

2.795813

08/11/2017

2.814408

2.808791

07/11/2017

2.810781

2.805171

06/11/2017

2.811229

2.805617

03/11/2017

2.809490

2.803882

02/11/2017

2.803161

2.797566

01/11/2017

2.800910

2.795319

31/10/2017

2.792559

2.786985

30/10/2017

2.789282

2.783714

Integration: 20240923.2 - WEBSITE-1098-OptiUpgrade+ed8d8842b1aeb15d6ccbe8227b1b54d35052493f