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

Perpetual WealthFocus Super Plan

As of Date Entry Price Exit Price

09/07/2025

2.496432

2.493440

08/07/2025

2.485269

2.482290

07/07/2025

2.488910

2.485927

04/07/2025

2.488040

2.485058

03/07/2025

2.490681

2.487696

02/07/2025

2.475095

2.472128

01/07/2025

2.461097

2.458147

30/06/2025

2.467368

2.464411

27/06/2025

2.470937

2.467975

26/06/2025

2.447069

2.444136

25/06/2025

2.446145

2.443213

24/06/2025

2.446441

2.443509

23/06/2025

2.447774

2.444840

20/06/2025

2.419503

2.416603

19/06/2025

2.411468

2.408578

18/06/2025

2.410878

2.407988

17/06/2025

2.413467

2.410574

16/06/2025

2.424259

2.421353

13/06/2025

2.414827

2.411933

12/06/2025

2.432637

2.429721

11/06/2025

2.425643

2.422736

10/06/2025

2.426533

2.423625

06/06/2025

2.433540

2.430623

05/06/2025

2.400395

2.397518

04/06/2025

2.417118

2.414221

03/06/2025

2.426513

2.423605

02/06/2025

2.405352

2.402469

30/05/2025

2.418151

2.415253

29/05/2025

2.414803

2.411909

28/05/2025

2.410451

2.407562