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Unit Prices

Vanguard International Shares Index (Hedged)

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

16/11/2022

3.649794

3.643964

15/11/2022

3.676677

3.670804

14/11/2022

3.650282

3.644451

11/11/2022

3.674655

3.668785

10/11/2022

3.641985

3.636167

09/11/2022

3.488128

3.482556

08/11/2022

3.544923

3.539260

07/11/2022

3.522235

3.516608

04/11/2022

3.494563

3.488981

03/11/2022

3.450481

3.444969

02/11/2022

3.482899

3.477335

01/11/2022

3.550126

3.544455

31/10/2022

3.552585

3.546910

28/10/2022

3.566074

3.560377

27/10/2022

3.505083

3.499484

26/10/2022

3.521138

3.515513

25/10/2022

3.534608

3.528962

24/10/2022

3.482932

3.477368

21/10/2022

3.446864

3.441358

20/10/2022

3.392684

3.387264

19/10/2022

3.411188

3.405739

18/10/2022

3.432643

3.427160

17/10/2022

3.396067

3.390642

14/10/2022

3.321768

3.316462

13/10/2022

3.374297

3.368907

12/10/2022

3.310474

3.305186

11/10/2022

3.320982

3.315677

10/10/2022

3.348680

3.343331

07/10/2022

3.371796

3.366410

06/10/2022

3.452912

3.447396

Preproduction: 20241119.2 - 17.0.1+568f6a8d9f9a4b9da39fa66b7013ede1589c7de8