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 Properties Securities Index

Perpetual WealthFocus Super Plan

As of Date Entry Price Exit Price

04/12/2025

2.795182

2.792390

03/12/2025

2.861171

2.858313

02/12/2025

2.840627

2.837789

01/12/2025

2.826826

2.824002

30/11/2025

2.834237

2.831406

28/11/2025

2.834237

2.831406

27/11/2025

2.846338

2.843495

26/11/2025

2.843801

2.840960

25/11/2025

2.827308

2.824484

24/11/2025

2.852310

2.849461

21/11/2025

2.784260

2.781479

20/11/2025

2.846218

2.843375

19/11/2025

2.808131

2.805326

18/11/2025

2.783209

2.780429

17/11/2025

2.826787

2.823963

14/11/2025

2.805910

2.803107

13/11/2025

2.815215

2.812403

12/11/2025

2.896851

2.893957

11/11/2025

2.903353

2.900453

10/11/2025

2.868692

2.865826

07/11/2025

2.875192

2.872320

06/11/2025

2.862277

2.859418

05/11/2025

2.854830

2.851978

04/11/2025

2.884086

2.881205

03/11/2025

2.916734

2.913820

31/10/2025

2.933955

2.931024

30/10/2025

2.915308

2.912396

29/10/2025

2.978820

2.975844

28/10/2025

3.029374

3.026348

27/10/2025

3.032303

3.029274