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 International Shares Index

Perpetual WealthFocus Super Plan

As of Date Entry Price Exit Price

12/09/2025

2.565942

2.562867

11/09/2025

2.567639

2.564562

10/09/2025

2.554399

2.551337

09/09/2025

2.562416

2.559345

08/09/2025

2.559786

2.556718

05/09/2025

2.559594

2.556526

04/09/2025

2.583935

2.580838

03/09/2025

2.550111

2.547055

02/09/2025

2.545950

2.542899

01/09/2025

2.558416

2.555350

31/08/2025

2.555077

2.552015

29/08/2025

2.555077

2.552015

28/08/2025

2.576603

2.573515

27/08/2025

2.581640

2.578546

26/08/2025

2.576542

2.573454

25/08/2025

2.569713

2.566633

22/08/2025

2.586371

2.583271

21/08/2025

2.572973

2.569889

20/08/2025

2.583977

2.580880

19/08/2025

2.573946

2.570861

18/08/2025

2.575853

2.572766

15/08/2025

2.563523

2.560450

14/08/2025

2.573223

2.570139

13/08/2025

2.555048

2.551986

12/08/2025

2.559048

2.555981

11/08/2025

2.535722

2.532683

08/08/2025

2.537116

2.534075

07/08/2025

2.531229

2.528195

06/08/2025

2.529198

2.526167

05/08/2025

2.527490

2.524461