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

28/01/2026

5.558127

5.551465

27/01/2026

5.574328

5.567647

23/01/2026

5.537165

5.530528

22/01/2026

5.540430

5.533789

21/01/2026

5.513539

5.506931

20/01/2026

5.455141

5.448603

19/01/2026

5.565309

5.558639

16/01/2026

5.564902

5.558232

15/01/2026

5.570739

5.564062

14/01/2026

5.551070

5.544417

13/01/2026

5.566817

5.560145

12/01/2026

5.567416

5.560743

09/01/2026

5.563604

5.556936

08/01/2026

5.523857

5.517236

07/01/2026

5.524321

5.517700

06/01/2026

5.549618

5.542966

05/01/2026

5.517743

5.511130

02/01/2026

5.477045

5.470480

31/12/2025

5.451757

5.445223

30/12/2025

5.483927

5.477354

29/12/2025

5.483714

5.477141

24/12/2025

5.498739

5.492148

23/12/2025

5.491888

5.485306

22/12/2025

5.474106

5.467545

19/12/2025

5.451808

5.445274

18/12/2025

5.411841

5.405355

17/12/2025

5.364368

5.357938

16/12/2025

5.410222

5.403738

15/12/2025

5.430948

5.424439

12/12/2025

5.426042

5.419539