What can we help you find?

Your search had no results

Please try the following to find what you’re looking for:

  • Check your spelling
  • Try different words or word combinations (E.g. "fund form")

Unit Prices

Vanguard Australian Properties Securities Index

Perpetual WealthFocus Account Based Pension Plan

As of Date Entry Price Exit Price

31/10/2025

3.268449

3.265184

30/10/2025

3.259918

3.256661

29/10/2025

3.336039

3.332706

28/10/2025

3.390040

3.386653

27/10/2025

3.392435

3.389046

24/10/2025

3.387463

3.384079

23/10/2025

3.374458

3.371087

22/10/2025

3.348024

3.344679

21/10/2025

3.366861

3.363498

20/10/2025

3.361971

3.357941

17/10/2025

3.324993

3.321008

16/10/2025

3.350300

3.346284

15/10/2025

3.260656

3.256748

14/10/2025

3.256568

3.252665

13/10/2025

3.270934

3.267014

10/10/2025

3.269825

3.265906

09/10/2025

3.274262

3.270338

08/10/2025

3.283114

3.279179

07/10/2025

3.301972

3.298014

03/10/2025

3.316777

3.312802

02/10/2025

3.301497

3.297540

01/10/2025

3.262084

3.258174

30/09/2025

3.251288

3.247391

29/09/2025

3.260139

3.256232

26/09/2025

3.251018

3.247121

25/09/2025

3.262302

3.258392

24/09/2025

3.276195

3.272268

23/09/2025

3.296584

3.292633

22/09/2025

3.306592

3.302629

19/09/2025

3.331621

3.327628