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 Investment Advantage

As of Date Entry Price Exit Price

16/10/2025

1.009944

1.008331

15/10/2025

1.006422

1.004814

14/10/2025

1.006522

1.004914

13/10/2025

1.003840

1.002236

10/10/2025

1.000504

0.998906

09/10/2025

1.001163

0.999564

08/10/2025

1.000332

0.998734

07/10/2025

0.999406

0.997810

03/10/2025

1.000832

0.999233

02/10/2025

1.000466

0.998868

01/10/2025

0.998982

0.997386

30/09/2025

1.002782

1.001180

29/09/2025

1.001761

1.000161

26/09/2025

0.999127

0.997531

25/09/2025

1.000621

0.999023

24/09/2025

1.002674

1.001072

23/09/2025

1.004448

1.002843

22/09/2025

1.003989

1.002385

19/09/2025

1.004846

1.003241

18/09/2025

1.006898

1.005290

17/09/2025

1.005133

1.003527

16/09/2025

1.004860

1.003255

15/09/2025

1.002348

1.000747

12/09/2025

1.004327

1.002723

11/09/2025

1.003962

1.002358

10/09/2025

1.002382

1.000781

09/09/2025

1.002669

1.001067

08/09/2025

1.002303

1.000702

05/09/2025

0.999618

0.998021

04/09/2025

0.999158

0.997562