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 Account Based Pension Plan

As of Date Entry Price Exit Price

20/01/2026

2.810789

2.807981

19/01/2026

2.886059

2.883176

16/01/2026

2.886119

2.883236

15/01/2026

2.879849

2.876972

14/01/2026

2.881096

2.878218

13/01/2026

2.886230

2.883347

12/01/2026

2.874316

2.871445

09/01/2026

2.883922

2.881041

08/01/2026

2.858849

2.855993

07/01/2026

2.850344

2.847497

06/01/2026

2.859989

2.857132

05/01/2026

2.850054

2.847207

02/01/2026

2.837924

2.835089

31/12/2025

2.836642

2.833808

30/12/2025

2.840725

2.837887

29/12/2025

2.844739

2.841897

24/12/2025

2.845517

2.842674

23/12/2025

2.847586

2.844741

22/12/2025

2.849304

2.846458

19/12/2025

2.851705

2.848856

18/12/2025

2.828292

2.825467

17/12/2025

2.810178

2.807371

16/12/2025

2.824485

2.821663

15/12/2025

2.829854

2.827027

12/12/2025

2.831334

2.828505

11/12/2025

2.843338

2.840498

10/12/2025

2.846269

2.843426

09/12/2025

2.826991

2.824167

08/12/2025

2.841298

2.838460

05/12/2025

2.839664

2.836827