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

05/07/2019

2.481557

2.478088

04/07/2019

2.437328

2.433920

03/07/2019

2.411826

2.408454

02/07/2019

2.367544

2.364234

01/07/2019

2.358213

2.354916

30/06/2019

2.332893

2.329631

28/06/2019

2.332893

2.329631

27/06/2019

2.362741

2.359438

26/06/2019

2.376748

2.373425

25/06/2019

2.397350

2.393999

24/06/2019

2.382868

2.379537

21/06/2019

2.352748

2.349458

20/06/2019

2.350520

2.347234

19/06/2019

2.350599

2.347312

18/06/2019

2.353213

2.349923

17/06/2019

2.319049

2.315807

14/06/2019

2.339230

2.335960

13/06/2019

2.334051

2.330787

12/06/2019

2.324907

2.321657

11/06/2019

2.338426

2.335157

07/06/2019

2.318795

2.315553

06/06/2019

2.292356

2.289151

05/06/2019

2.245730

2.242590

04/06/2019

2.274569

2.271389

03/06/2019

2.255562

2.252408

31/05/2019

2.241765

2.238631

30/05/2019

2.230750

2.227632

29/05/2019

2.271978

2.268802

28/05/2019

2.293918

2.290711

27/05/2019

2.300282

2.297066