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 Fixed Interest Index

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

14/01/2021

2.119260

2.115875

13/01/2021

2.118582

2.115197

12/01/2021

2.115124

2.111745

11/01/2021

2.118783

2.115399

08/01/2021

2.116762

2.113381

07/01/2021

2.121284

2.117895

06/01/2021

2.123725

2.120333

05/01/2021

2.131538

2.128133

04/01/2021

2.128260

2.124861

31/12/2020

2.127952

2.124553

30/12/2020

2.126566

2.123169

29/12/2020

2.129547

2.126145

24/12/2020

2.126809

2.123411

23/12/2020

2.133149

2.129742

22/12/2020

2.129864

2.126461

21/12/2020

2.129700

2.126298

18/12/2020

2.126889

2.123491

17/12/2020

2.126915

2.123518

16/12/2020

2.129044

2.125643

15/12/2020

2.129239

2.125837

14/12/2020

2.128154

2.124754

11/12/2020

2.127843

2.124444

10/12/2020

2.127809

2.124410

09/12/2020

2.123608

2.120216

08/12/2020

2.124146

2.120752

07/12/2020

2.122402

2.119011

04/12/2020

2.126999

2.123601

03/12/2020

2.124324

2.120930

02/12/2020

2.128109

2.124709

01/12/2020

2.134038

2.130629