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Unit Prices

Vanguard International Shares Index

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

05/02/2025

2.585485

2.582386

04/02/2025

2.588774

2.585671

03/02/2025

2.591130

2.588024

31/01/2025

2.599827

2.596711

30/01/2025

2.613183

2.610051

29/01/2025

2.598871

2.595756

28/01/2025

2.597242

2.594129

24/01/2025

2.578391

2.575301

23/01/2025

2.599057

2.595942

22/01/2025

2.587081

2.583980

21/01/2025

2.578405

2.575315

20/01/2025

2.568449

2.565371

17/01/2025

2.568503

2.565424

16/01/2025

2.547006

2.543953

15/01/2025

2.543307

2.540259

14/01/2025

2.513611

2.510598

13/01/2025

2.527052

2.524023

10/01/2025

2.526779

2.523750

09/01/2025

2.541393

2.538347

08/01/2025

2.541411

2.538365

07/01/2025

2.526505

2.523477

06/01/2025

2.547376

2.544323

03/01/2025

2.547167

2.544114

02/01/2025

2.521119

2.518097

31/12/2024

2.530978

2.527944

30/12/2024

2.529234

2.526203

27/12/2024

2.554453

2.551391

24/12/2024

2.564665

2.561591

23/12/2024

2.540973

2.537927

20/12/2024

2.519140

2.516121