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

09/04/2019

2.001701

1.997706

08/04/2019

2.003631

1.999632

05/04/2019

2.000577

1.996584

04/04/2019

2.001655

1.997659

03/04/2019

2.006641

2.002636

02/04/2019

2.008405

2.004396

01/04/2019

2.008973

2.004963

31/03/2019

2.011582

2.007567

29/03/2019

2.011582

2.007567

28/03/2019

2.015554

2.011531

27/03/2019

2.011028

2.007014

26/03/2019

2.005981

2.001977

25/03/2019

2.010521

2.006508

22/03/2019

2.005456

2.001453

21/03/2019

2.000767

1.996774

20/03/2019

1.995728

1.991744

19/03/2019

1.995784

1.991801

18/03/2019

1.990566

1.986592

15/03/2019

1.991257

1.987282

14/03/2019

1.991987

1.988010

13/03/2019

1.992429

1.988452

12/03/2019

1.985517

1.981554

11/03/2019

1.984390

1.980429

08/03/2019

1.985661

1.981697

07/03/2019

1.981027

1.977073

06/03/2019

1.980574

1.976621

05/03/2019

1.973970

1.970030

04/03/2019

1.970608

1.966674

01/03/2019

1.974016

1.970076

28/02/2019

1.978497

1.974548