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

07/11/2025

3.567557

3.564705

06/11/2025

3.591969

3.589098

05/11/2025

3.578587

3.575726

04/11/2025

3.585084

3.582218

03/11/2025

3.617704

3.614812

31/10/2025

3.613913

3.611024

30/10/2025

3.614631

3.611742

29/10/2025

3.631112

3.628209

28/10/2025

3.663796

3.660867

27/10/2025

3.682382

3.679438

24/10/2025

3.667978

3.665046

23/10/2025

3.673825

3.670888

22/10/2025

3.672341

3.669405

21/10/2025

3.698901

3.695944

20/10/2025

3.673591

3.669921

17/10/2025

3.660514

3.656857

16/10/2025

3.690907

3.687220

15/10/2025

3.659579

3.655923

14/10/2025

3.623969

3.620349

13/10/2025

3.616011

3.612399

10/10/2025

3.646975

3.643332

09/10/2025

3.651859

3.648211

08/10/2025

3.642283

3.638644

07/10/2025

3.646125

3.642483

03/10/2025

3.657564

3.653910

02/10/2025

3.641155

3.637517

01/10/2025

3.600723

3.597126

30/09/2025

3.590272

3.586685

29/09/2025

3.595354

3.591762

26/09/2025

3.565775

3.562213