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Unit Prices

Vanguard Australian Properties Securities Index

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

05/02/2025

3.016169

3.012554

04/02/2025

2.991835

2.988249

03/02/2025

3.024452

3.020827

31/01/2025

3.072778

3.069095

30/01/2025

3.042169

3.038523

29/01/2025

3.037359

3.033719

28/01/2025

2.988295

2.984713

24/01/2025

3.087092

3.083392

23/01/2025

3.079471

3.075780

22/01/2025

3.110413

3.106685

21/01/2025

3.089262

3.085559

20/01/2025

3.094239

3.090530

17/01/2025

3.071537

3.067856

16/01/2025

3.076283

3.072596

15/01/2025

3.009667

3.006060

14/01/2025

3.006079

3.002476

13/01/2025

2.973613

2.970049

10/01/2025

3.024766

3.021141

09/01/2025

3.025066

3.021440

08/01/2025

3.030916

3.027283

07/01/2025

3.045933

3.042282

06/01/2025

3.033735

3.030099

03/01/2025

3.009345

3.005738

02/01/2025

2.974077

2.970512

31/12/2024

2.942958

2.939431

30/12/2024

2.993732

2.990144

27/12/2024

3.020537

3.016917

24/12/2024

3.010875

3.007266

23/12/2024

2.984809

2.981232

20/12/2024

2.929823

2.926311