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 Account Based Pension Plan

As of Date Entry Price Exit Price

04/12/2025

3.107748

3.104643

03/12/2025

3.174428

3.171257

02/12/2025

3.150559

3.147412

01/12/2025

3.137316

3.134182

30/11/2025

3.147046

3.143902

28/11/2025

3.147046

3.143902

27/11/2025

3.159220

3.156064

26/11/2025

3.154221

3.151070

25/11/2025

3.139231

3.136095

24/11/2025

3.156276

3.153123

21/11/2025

3.092128

3.089039

20/11/2025

3.151928

3.148779

19/11/2025

3.108209

3.105104

18/11/2025

3.088138

3.085053

17/11/2025

3.131850

3.128721

14/11/2025

3.113021

3.109911

13/11/2025

3.136068

3.132935

12/11/2025

3.223409

3.220189

11/11/2025

3.224907

3.221685

10/11/2025

3.188643

3.185458

07/11/2025

3.193430

3.190240

06/11/2025

3.179293

3.176117

05/11/2025

3.176955

3.173781

04/11/2025

3.213849

3.210638

03/11/2025

3.251333

3.248085

31/10/2025

3.268449

3.265184

30/10/2025

3.259918

3.256661

29/10/2025

3.336039

3.332706

28/10/2025

3.390040

3.386653

27/10/2025

3.392435

3.389046