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

04/02/2022

2.491598

2.488612

03/02/2022

2.489962

2.486978

02/02/2022

2.496828

2.493835

01/02/2022

2.482580

2.479604

31/01/2022

2.462618

2.459666

28/01/2022

2.424785

2.421879

27/01/2022

2.374782

2.371936

25/01/2022

2.441086

2.438160

24/01/2022

2.517192

2.514175

21/01/2022

2.483783

2.480806

20/01/2022

2.517630

2.514612

19/01/2022

2.546104

2.543052

18/01/2022

2.555754

2.552691

17/01/2022

2.547527

2.544474

14/01/2022

2.559357

2.556289

13/01/2022

2.581550

2.578456

12/01/2022

2.589807

2.586703

11/01/2022

2.588741

2.585638

10/01/2022

2.642903

2.639735

07/01/2022

2.660302

2.657113

06/01/2022

2.624460

2.621314

05/01/2022

2.740382

2.737097

04/01/2022

2.770605

2.767284

31/12/2021

2.719655

2.716395

30/12/2021

2.759694

2.756386

29/12/2021

2.731595

2.728321

24/12/2021

2.680858

2.677645

23/12/2021

2.665627

2.662432

22/12/2021

2.648803

2.645628

21/12/2021

2.670602

2.667401