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Unit Prices

Vanguard International Shares Index (Hedged)

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

11/07/2022

3.564142

3.558448

08/07/2022

3.596694

3.590948

07/07/2022

3.595454

3.589710

06/07/2022

3.540226

3.534571

05/07/2022

3.528017

3.522381

04/07/2022

3.526777

3.521143

01/07/2022

3.526832

3.521198

30/06/2022

3.499892

3.494301

29/06/2022

3.540749

3.535093

28/06/2022

3.552113

3.546439

27/06/2022

3.602105

3.596351

24/06/2022

3.601152

3.595399

23/06/2022

3.500479

3.494887

22/06/2022

3.483620

3.478055

21/06/2022

3.496306

3.490721

20/06/2022

3.417701

3.412241

17/06/2022

3.417805

3.412345

16/06/2022

3.417441

3.411982

15/06/2022

3.522963

3.517335

14/06/2022

3.474794

3.469243

10/06/2022

3.626288

3.620495

09/06/2022

3.727663

3.721708

08/06/2022

3.804274

3.798197

07/06/2022

3.833382

3.827258

06/06/2022

3.807261

3.801179

03/06/2022

3.792185

3.786127

02/06/2022

3.838556

3.832424

01/06/2022

3.782158

3.776116

31/05/2022

3.804900

3.798822

30/05/2022

3.818812

3.812712

Preproduction: 20241119.2 - 17.0.1+568f6a8d9f9a4b9da39fa66b7013ede1589c7de8