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

19/08/2019

2.364305

2.360999

16/08/2019

2.351090

2.347803

15/08/2019

2.349232

2.345948

14/08/2019

2.388349

2.385010

13/08/2019

2.395104

2.391755

12/08/2019

2.404483

2.401121

09/08/2019

2.403633

2.400273

08/08/2019

2.414919

2.411543

07/08/2019

2.375071

2.371751

06/08/2019

2.338714

2.335444

02/08/2019

2.447737

2.444315

01/08/2019

2.399312

2.395958

31/07/2019

2.388243

2.384904

30/07/2019

2.399327

2.395972

29/07/2019

2.386004

2.382668

26/07/2019

2.406360

2.402996

25/07/2019

2.412238

2.408866

24/07/2019

2.411028

2.407657

23/07/2019

2.394703

2.391356

22/07/2019

2.375592

2.372271

19/07/2019

2.406883

2.403518

18/07/2019

2.402315

2.398956

17/07/2019

2.400345

2.396990

16/07/2019

2.407585

2.404219

15/07/2019

2.390315

2.386973

12/07/2019

2.420489

2.417105

11/07/2019

2.437704

2.434295

10/07/2019

2.433489

2.430087

09/07/2019

2.427900

2.424505

08/07/2019

2.426298

2.422906