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 Account Based Pension Plan

As of Date Entry Price Exit Price

30/09/2024

2.263030

2.260318

27/09/2024

2.268017

2.265299

26/09/2024

2.277253

2.274524

25/09/2024

2.270513

2.267792

24/09/2024

2.272604

2.269880

23/09/2024

2.269563

2.266843

20/09/2024

2.281320

2.278586

19/09/2024

2.285305

2.282566

18/09/2024

2.260332

2.257623

17/09/2024

2.268833

2.266114

16/09/2024

2.279012

2.276280

13/09/2024

2.281714

2.278979

12/09/2024

2.274768

2.272042

11/09/2024

2.274199

2.271473

10/09/2024

2.251830

2.249131

09/09/2024

2.247032

2.244339

06/09/2024

2.208612

2.205965

05/09/2024

2.236790

2.234109

04/09/2024

2.240317

2.237632

03/09/2024

2.255934

2.253230

02/09/2024

2.273823

2.271098

31/08/2024

2.273806

2.271081

30/08/2024

2.273806

2.271081

29/08/2024

2.253179

2.250478

28/08/2024

2.252664

2.249964

27/08/2024

2.266348

2.263632

26/08/2024

2.262666

2.259954

23/08/2024

2.271090

2.268368

22/08/2024

2.263702

2.260989

21/08/2024

2.270471

2.267750

Integration: 20250130.1 - develop+fd76667146f291f1f61d03866ad001a294990a45