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 (Hedged)

Perpetual WealthFocus Super Plan

As of Date Entry Price Exit Price

11/12/2025

5.470228

5.463672

10/12/2025

5.462202

5.455655

09/12/2025

5.432155

5.425644

08/12/2025

5.435568

5.429053

05/12/2025

5.448871

5.442340

04/12/2025

5.449411

5.442880

03/12/2025

5.433061

5.426549

02/12/2025

5.422474

5.415975

01/12/2025

5.404991

5.398513

30/11/2025

5.437021

5.430504

28/11/2025

5.437021

5.430504

27/11/2025

5.407668

5.401187

26/11/2025

5.414537

5.408047

25/11/2025

5.376016

5.369573

24/11/2025

5.339360

5.332960

21/11/2025

5.276641

5.270317

20/11/2025

5.232194

5.225923

19/11/2025

5.293543

5.287198

18/11/2025

5.268182

5.261868

17/11/2025

5.320377

5.314000

14/11/2025

5.365766

5.359335

13/11/2025

5.366888

5.360455

12/11/2025

5.448187

5.441657

11/11/2025

5.435452

5.428937

10/11/2025

5.425601

5.419098

07/11/2025

5.345797

5.339390

06/11/2025

5.339335

5.332935

05/11/2025

5.390845

5.384384

04/11/2025

5.367145

5.360712

03/11/2025

5.426038

5.419535