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 Shares Index

Perpetual WealthFocus Account Based Pension Plan

As of Date Entry Price Exit Price

06/08/2025

3.546541

3.542998

05/08/2025

3.516811

3.513298

01/08/2025

3.473829

3.470359

31/07/2025

3.505579

3.502077

30/07/2025

3.511002

3.507495

29/07/2025

3.490809

3.487322

28/07/2025

3.488307

3.484822

25/07/2025

3.476777

3.473304

24/07/2025

3.493916

3.490426

23/07/2025

3.504145

3.500644

22/07/2025

3.480616

3.477139

21/07/2025

3.476635

3.473162

18/07/2025

3.510013

3.506506

17/07/2025

3.464715

3.461254

16/07/2025

3.434983

3.431551

15/07/2025

3.460872

3.457415

14/07/2025

3.437091

3.433657

11/07/2025

3.439794

3.436358

10/07/2025

3.443481

3.440041

09/07/2025

3.423362

3.419942

08/07/2025

3.443300

3.439860

07/07/2025

3.442294

3.438855

04/07/2025

3.448431

3.444986

03/07/2025

3.445593

3.442151

02/07/2025

3.445846

3.442404

01/07/2025

3.424816

3.421395

30/06/2025

3.419134

3.415718

27/06/2025

3.408143

3.404738

26/06/2025

3.417608

3.414194

25/06/2025

3.419921

3.416504