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

26/08/2025

5.158357

5.151145

25/08/2025

5.148598

5.141400

22/08/2025

5.179475

5.172234

21/08/2025

5.110731

5.103586

20/08/2025

5.124920

5.117755

19/08/2025

5.131011

5.123838

18/08/2025

5.149750

5.142550

15/08/2025

5.148555

5.141357

14/08/2025

5.151363

5.144161

13/08/2025

5.153552

5.146347

12/08/2025

5.140796

5.133609

11/08/2025

5.089476

5.082361

08/08/2025

5.105153

5.098016

07/08/2025

5.072658

5.065566

06/08/2025

5.071606

5.064516

05/08/2025

5.044402

5.037350

01/08/2025

4.982044

4.975079

31/07/2025

5.059781

5.052707

30/07/2025

5.077187

5.070089

29/07/2025

5.079966

5.072864

28/07/2025

5.090433

5.083316

25/07/2025

5.095980

5.088856

24/07/2025

5.084856

5.077747

23/07/2025

5.080695

5.073592

22/07/2025

5.033606

5.026569

21/07/2025

5.035533

5.028493

18/07/2025

5.031552

5.024518

17/07/2025

5.036913

5.029871

16/07/2025

5.005757

4.998759

15/07/2025

4.995066

4.988083