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 Fixed Interest Index

Perpetual WealthFocus Account Based Pension Plan

As of Date Entry Price Exit Price

04/12/2025

2.036089

2.033649

03/12/2025

2.041305

2.038858

02/12/2025

2.044400

2.041950

01/12/2025

2.049616

2.047159

30/11/2025

2.052135

2.049675

28/11/2025

2.052135

2.049675

27/11/2025

2.054295

2.051833

26/11/2025

2.050839

2.048381

25/11/2025

2.062102

2.059630

24/11/2025

2.060369

2.057900

21/11/2025

2.058473

2.056006

20/11/2025

2.058295

2.055828

19/11/2025

2.062553

2.060081

18/11/2025

2.060636

2.058166

17/11/2025

2.057369

2.054903

14/11/2025

2.059534

2.057066

13/11/2025

2.059163

2.056695

12/11/2025

2.064968

2.062493

11/11/2025

2.064403

2.061929

10/11/2025

2.063839

2.061365

07/11/2025

2.067738

2.065260

06/11/2025

2.066209

2.063733

05/11/2025

2.069692

2.067211

04/11/2025

2.065844

2.063368

03/11/2025

2.067596

2.065118

31/10/2025

2.071350

2.068867

30/10/2025

2.069918

2.067437

29/10/2025

2.075569

2.073081

28/10/2025

2.082332

2.079836

27/10/2025

2.082740

2.080244