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Unit Prices

Vanguard International Shares Index (Hedged)

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

04/12/2019

3.160293

3.155245

03/12/2019

3.142760

3.137740

02/12/2019

3.164343

3.159288

30/11/2019

3.190328

3.185232

29/11/2019

3.190328

3.185232

28/11/2019

3.204987

3.199867

27/11/2019

3.205100

3.199980

26/11/2019

3.194152

3.189049

25/11/2019

3.187707

3.182615

22/11/2019

3.163848

3.158794

21/11/2019

3.154974

3.149934

20/11/2019

3.162362

3.157310

19/11/2019

3.172507

3.167439

18/11/2019

3.174005

3.168935

15/11/2019

3.172306

3.167238

14/11/2019

3.150984

3.145951

13/11/2019

3.154564

3.149525

12/11/2019

3.157107

3.152064

11/11/2019

3.150368

3.145335

08/11/2019

3.156270

3.151228

07/11/2019

3.151196

3.146162

06/11/2019

3.141272

3.136254

05/11/2019

3.138295

3.133282

04/11/2019

3.135993

3.130984

01/11/2019

3.121101

3.116115

31/10/2019

3.096575

3.091629

30/10/2019

3.106361

3.100779

29/10/2019

3.099523

3.093954

28/10/2019

3.099548

3.093979

25/10/2019

3.086749

3.081203

Preproduction: 20241113.2 - 17.0.1+1254d9d36ff8a15a8e363672a459ef7ed9e47638