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Unit Prices

Vanguard International Shares Index

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

12/09/2017

0.972579

0.971025

11/09/2017

0.969882

0.968333

08/09/2017

0.958394

0.956863

07/09/2017

0.961418

0.959882

06/09/2017

0.963937

0.962398

05/09/2017

0.958264

0.956733

04/09/2017

0.968691

0.967144

01/09/2017

0.968782

0.967235

31/08/2017

0.971016

0.969465

30/08/2017

0.968849

0.967301

29/08/2017

0.958639

0.957108

28/08/2017

0.962405

0.960867

25/08/2017

0.962687

0.961149

24/08/2017

0.964582

0.963041

23/08/2017

0.966837

0.965292

22/08/2017

0.964910

0.963368

21/08/2017

0.956845

0.955316

18/08/2017

0.959172

0.957639

17/08/2017

0.961259

0.959723

16/08/2017

0.972484

0.970930

15/08/2017

0.977917

0.976355

14/08/2017

0.973850

0.972294

11/08/2017

0.966140

0.964597

10/08/2017

0.965109

0.963567

09/08/2017

0.977531

0.975969

08/08/2017

0.976836

0.975276

04/08/2017

0.975246

0.973688

03/08/2017

0.970880

0.969329

02/08/2017

0.969323

0.967774

01/08/2017

0.967198

0.965653

Preproduction: 20241113.2 - 17.0.1+1254d9d36ff8a15a8e363672a459ef7ed9e47638