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

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

24/06/2025

3.418011

3.414596

23/06/2025

3.386617

3.383234

20/06/2025

3.399306

3.395910

19/06/2025

3.406380

3.402977

18/06/2025

3.409473

3.406067

17/06/2025

3.414614

3.411203

16/06/2025

3.416457

3.413044

13/06/2025

3.415709

3.412297

12/06/2025

3.423436

3.420016

11/06/2025

3.432961

3.429531

10/06/2025

3.431058

3.427630

06/06/2025

3.404686

3.401285

05/06/2025

3.414657

3.411246

04/06/2025

3.415971

3.412558

03/06/2025

3.385363

3.381981

02/06/2025

3.364966

3.361604

30/05/2025

3.373315

3.369945

29/05/2025

3.362925

3.359565

28/05/2025

3.358523

3.355168

27/05/2025

3.362287

3.358928