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 Properties Securities Index

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

05/06/2025

3.105678

3.101956

04/06/2025

3.084872

3.081175

03/06/2025

3.070788

3.067107

02/06/2025

3.051271

3.047614

30/05/2025

3.056982

3.053318

29/05/2025

3.041796

3.038150

28/05/2025

3.069326

3.065647

27/05/2025

3.031586

3.027952

26/05/2025

3.043816

3.040168

23/05/2025

3.039241

3.035598

22/05/2025

3.016071

3.012456

21/05/2025

3.039282

3.035639

20/05/2025

3.031801

3.028167

19/05/2025

2.990641

2.987057

16/05/2025

3.010286

3.006678

15/05/2025

2.945224

2.941694

14/05/2025

2.982682

2.979107

13/05/2025

2.995949

2.992358

12/05/2025

3.028224

3.024594

09/05/2025

3.027422

3.023793

08/05/2025

3.028882

3.025252

07/05/2025

3.004713

3.001112

06/05/2025

2.983424

2.979848

05/05/2025

2.959843

2.956295

02/05/2025

2.989212

2.985629

01/05/2025

2.963633

2.960081

30/04/2025

2.915843

2.912348

29/04/2025

2.873870

2.870425

28/04/2025

2.842398

2.838991

24/04/2025

2.829725

2.826333