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

07/09/2022

2.167039

2.164442

06/09/2022

2.189297

2.186673

05/09/2022

2.188484

2.185861

02/09/2022

2.203399

2.200758

01/09/2022

2.197073

2.194440

31/08/2022

2.245860

2.243168

30/08/2022

2.251293

2.248595

29/08/2022

2.233780

2.231103

26/08/2022

2.275289

2.272562

25/08/2022

2.260014

2.257305

24/08/2022

2.209930

2.207281

23/08/2022

2.224756

2.222089

22/08/2022

2.251674

2.248975

19/08/2022

2.276930

2.274201

18/08/2022

2.310567

2.307798

17/08/2022

2.324410

2.321624

16/08/2022

2.293310

2.290561

15/08/2022

2.322481

2.319697

12/08/2022

2.270671

2.267949

11/08/2022

2.319562

2.316782

10/08/2022

2.274871

2.272144

09/08/2022

2.291351

2.288605

08/08/2022

2.265144

2.262429

05/08/2022

2.310880

2.308110

04/08/2022

2.300251

2.297494

03/08/2022

2.285716

2.282976

02/08/2022

2.292644

2.289896

31/07/2022

2.331082

2.328288

29/07/2022

2.331082

2.328288

28/07/2022

2.265927

2.263211