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

11/11/2019

2.375067

2.372221

08/11/2019

2.344944

2.342134

07/11/2019

2.382318

2.379463

06/11/2019

2.361580

2.358750

05/11/2019

2.379459

2.376607

04/11/2019

2.384949

2.382091

01/11/2019

2.389298

2.386435

31/10/2019

2.377215

2.374366

30/10/2019

2.382521

2.379190

29/10/2019

2.394508

2.391161

28/10/2019

2.388026

2.384687

25/10/2019

2.400857

2.397501

24/10/2019

2.378471

2.375146

23/10/2019

2.394989

2.391641

22/10/2019

2.381686

2.378357

21/10/2019

2.384385

2.381052

18/10/2019

2.357965

2.354668

17/10/2019

2.371062

2.367747

16/10/2019

2.395776

2.392426

15/10/2019

2.361870

2.358568

14/10/2019

2.348954

2.345670

11/10/2019

2.352446

2.349157

10/10/2019

2.351658

2.348371

09/10/2019

2.365092

2.361785

08/10/2019

2.372502

2.369185

04/10/2019

2.348035

2.344753

03/10/2019

2.340351

2.337079

02/10/2019

2.366529

2.363220

01/10/2019

2.375917

2.372596

30/09/2019

2.348203

2.344920