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

09/04/2019

2.191292

2.188229

08/04/2019

2.198661

2.195588

05/04/2019

2.179079

2.176033

04/04/2019

2.206875

2.203790

03/04/2019

2.240097

2.236966

02/04/2019

2.225793

2.222681

01/04/2019

2.232121

2.229001

31/03/2019

2.247524

2.244382

29/03/2019

2.247524

2.244382

28/03/2019

2.259493

2.256334

27/03/2019

2.256049

2.252895

26/03/2019

2.255285

2.252132

25/03/2019

2.237252

2.234124

22/03/2019

2.231027

2.227907

21/03/2019

2.218183

2.215082

20/03/2019

2.224081

2.220972

19/03/2019

2.215849

2.212751

18/03/2019

2.217379

2.214279

15/03/2019

2.213222

2.210128

14/03/2019

2.197686

2.194613

13/03/2019

2.196301

2.193230

12/03/2019

2.195541

2.192472

11/03/2019

2.192903

2.189837

08/03/2019

2.197086

2.194014

07/03/2019

2.195950

2.192880

06/03/2019

2.183055

2.180003

05/03/2019

2.167687

2.164657

04/03/2019

2.156903

2.153888

01/03/2019

2.164185

2.161160

28/02/2019

2.122386

2.119419