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

12/09/2025

3.362066

3.358036

11/09/2025

3.319402

3.315423

10/09/2025

3.296462

3.292511

09/09/2025

3.277042

3.273114

08/09/2025

3.304729

3.300768

05/09/2025

3.300651

3.296695

04/09/2025

3.257731

3.253826

03/09/2025

3.224483

3.220618

02/09/2025

3.301838

3.297881

01/09/2025

3.342072

3.338066

31/08/2025

3.349724

3.345709

29/08/2025

3.349724

3.345709

28/08/2025

3.375507

3.371461

27/08/2025

3.342156

3.338150

26/08/2025

3.353401

3.349382

25/08/2025

3.363258

3.359227

22/08/2025

3.331828

3.327835

21/08/2025

3.392199

3.388133

20/08/2025

3.384889

3.380832

19/08/2025

3.327705

3.323717

18/08/2025

3.320688

3.316708

15/08/2025

3.310488

3.306520

14/08/2025

3.304644

3.300683

13/08/2025

3.275330

3.271404

12/08/2025

3.273286

3.269363

11/08/2025

3.275074

3.271149

08/08/2025

3.266315

3.262400

07/08/2025

3.258397

3.254492

06/08/2025

3.245186

3.241296

05/08/2025

3.217270

3.213414