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 Investment Advantage

As of Date Entry Price Exit Price

15/10/2025

1.511857

1.509743

14/10/2025

1.504401

1.502298

13/10/2025

1.507716

1.505608

10/10/2025

1.489857

1.487774

09/10/2025

1.525650

1.523517

08/10/2025

1.529092

1.526954

07/10/2025

1.520278

1.518153

03/10/2025

1.518850

1.516727

02/10/2025

1.516174

1.514054

01/10/2025

1.513253

1.511137

30/09/2025

1.515732

1.513613

29/09/2025

1.511310

1.509197

26/09/2025

1.508015

1.505907

25/09/2025

1.499898

1.497801

24/09/2025

1.506293

1.504187

23/09/2025

1.509865

1.507754

22/09/2025

1.516015

1.513896

19/09/2025

1.510766

1.508654

18/09/2025

1.505126

1.503022

17/09/2025

1.496538

1.494446

16/09/2025

1.498022

1.495928

15/09/2025

1.501838

1.499738

12/09/2025

1.495348

1.493257

11/09/2025

1.496097

1.494005

10/09/2025

1.485148

1.483072

09/09/2025

1.481587

1.479516

08/09/2025

1.478520

1.476453

05/09/2025

1.473872

1.471811

04/09/2025

1.476467

1.474403

03/09/2025

1.464534

1.462487