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Unit Prices

Vanguard International Shares Index (Hedged)

Perpetual WealthFocus Account Based Pension Plan

As of Date Entry Price Exit Price

24/04/2025

4.906525

4.899665

23/04/2025

4.829273

4.822521

22/04/2025

4.747628

4.740991

17/04/2025

4.739578

4.732952

16/04/2025

4.731398

4.724783

15/04/2025

4.809255

4.802531

14/04/2025

4.795097

4.788393

11/04/2025

4.738429

4.731804

10/04/2025

4.684442

4.677893

09/04/2025

4.750213

4.743572

08/04/2025

4.463820

4.457579

07/04/2025

4.483311

4.477043

04/04/2025

4.555640

4.549271

03/04/2025

4.836964

4.830202

02/04/2025

5.047407

5.040351

01/04/2025

5.025010

5.017985

31/03/2025

5.000223

4.993232

28/03/2025

5.005719

4.998721

27/03/2025

5.088814

5.081700

26/03/2025

5.106085

5.098946

25/03/2025

5.154382

5.147176

24/03/2025

5.142641

5.135451

21/03/2025

5.077688

5.070589

20/03/2025

5.080152

5.073050

19/03/2025

5.090981

5.083864

18/03/2025

5.053081

5.046017

17/03/2025

5.081010

5.073907

14/03/2025

5.048503

5.041445

13/03/2025

4.969208

4.962261

12/03/2025

5.019093

5.012076