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 International Shares Index (Hedged)

Perpetual WealthFocus Super Plan

As of Date Entry Price Exit Price

23/10/2025

5.359960

5.353536

22/10/2025

5.328234

5.321848

21/10/2025

5.352833

5.346417

20/10/2025

5.362967

5.355469

17/10/2025

5.300990

5.293579

16/10/2025

5.290985

5.283588

15/10/2025

5.314629

5.307199

14/10/2025

5.285704

5.278314

13/10/2025

5.307490

5.300070

10/10/2025

5.223105

5.215803

09/10/2025

5.351243

5.343762

08/10/2025

5.368544

5.361039

07/10/2025

5.337308

5.329846

03/10/2025

5.333594

5.326137

02/10/2025

5.325434

5.317989

01/10/2025

5.318043

5.310608

30/09/2025

5.297916

5.290509

29/09/2025

5.283791

5.276404

26/09/2025

5.276314

5.268937

25/09/2025

5.243629

5.236298

24/09/2025

5.264778

5.257418

23/09/2025

5.274334

5.266960

22/09/2025

5.299388

5.291979

19/09/2025

5.283480

5.276093

18/09/2025

5.267766

5.260401

17/09/2025

5.235944

5.228624

16/09/2025

5.239234

5.231909

15/09/2025

5.256534

5.249185

12/09/2025

5.232724

5.225408

11/09/2025

5.241197

5.233870