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Unit Prices

Vanguard International Shares Index (Hedged)

Perpetual WealthFocus Account Based Pension Plan

As of Date Entry Price Exit Price

12/02/2025

5.339957

5.332492

11/02/2025

5.348324

5.340847

10/02/2025

5.346606

5.339131

07/02/2025

5.313768

5.306339

06/02/2025

5.355689

5.348202

05/02/2025

5.331454

5.324000

04/02/2025

5.309600

5.302177

03/02/2025

5.276505

5.269128

31/01/2025

5.324227

5.316784

30/01/2025

5.343671

5.336200

29/01/2025

5.311387

5.303961

28/01/2025

5.322901

5.315459

24/01/2025

5.342380

5.334911

23/01/2025

5.353221

5.345737

22/01/2025

5.340001

5.332535

21/01/2025

5.313035

5.305607

20/01/2025

5.268777

5.261411

17/01/2025

5.268888

5.261522

16/01/2025

5.224235

5.216931

15/01/2025

5.222104

5.214803

14/01/2025

5.141464

5.134276

13/01/2025

5.137598

5.130415

10/01/2025

5.137271

5.130089

09/01/2025

5.206706

5.199427

08/01/2025

5.206742

5.199463

07/01/2025

5.200705

5.193434

06/01/2025

5.239345

5.232020

03/01/2025

5.212563

5.205276

02/01/2025

5.164889

5.157668

31/12/2024

5.163153

5.155935