Retail Index Funds: Unit prices

 Fund
 Summary
 Unit Prices  Income
 Distributions
 Performance
 Net of Fees
 Performance
 After Tax
 Fees
Unit Prices
  Fund Profile
Monthly
Unit Price
Latest Available
Latest Month End Price
as at 31/12/2008
Prices
Historical
  Fact Sheet Price Date Buy NAV Sell Price Date Buy NAV Sell Price History
Asset Sector Index Funds
Vanguard Index Cash Plus Fund 05/01/09 $1.0190 $1.0190 $1.0190 31/12/08 $1.0376 $1.0376 $1.0376
Vanguard Index Diversified Bond Fund 05/01/09 $1.0660 $1.0644 $1.0628 31/12/08 n/a n/a n/a
Vanguard Index Property Securities Fund 05/01/09 $0.5878 $0.5866 $0.5854 31/12/08 $0.6037 $0.6024 $0.6011
Vanguard High Yield Australian Shares Fund 05/01/09 $0.8811 $0.8793 $0.8784 31/12/08 $0.8957 $0.8939 $0.8930
Vanguard Index Australian Shares Fund 05/01/09 $1.3588 $1.3560 $1.3546 31/12/08 $1.4135 $1.4106 $1.4091
Vanguard Index International Shares Fund 05/01/09 $0.8077 $0.8052 $0.8043 31/12/08 $0.8163 $0.8138 $0.8129
Vanguard Index Hedged International Shares Fund 05/01/09 $0.4911 $0.4893 $0.4885 31/12/08 $0.4754 $0.4737 $0.4729
Diversified Index Funds
Vanguard LifeStrategy Conservative Fund 05/01/09 $1.0095 $1.0079 $1.0068 31/12/08 $1.0370 $1.0354 $1.0343
Vanguard LifeStrategy Balanced Fund 05/01/09 $1.0342 $1.0321 $1.0305 31/12/08 $1.0585 $1.0563 $1.0547
Vanguard LifeStrategy Growth Fund 05/01/09 $1.0489 $1.0462 $1.0446 31/12/08 $1.0698 $1.0671 $1.0654
Vanguard LifeStrategy High Growth Fund 05/01/09 $1.0770 $1.0737 $1.0715 31/12/08 $1.1005 $1.0972 $1.0950
  Fact Sheet Price Date Buy NAV Sell Price Date Buy NAV Sell Price History
Fund Prices

Unit prices shown in the table above relate to the Vanguard Investor Index Funds. This section provides purchase and withdrawal prices for information purposes only and unit prices are not guaranteed. Unit prices are typically updated daily and are usually available the next business day by 3pm (EST). Unit prices will be confirmed by Vanguard upon application for, or withdrawal of units.
GENERAL ADVICE WARNING
Vanguard Investments Australia Ltd (ABN 72 072 881 086 / AFSL 227263 / RSE Licence L0001335) is the product issuer. We have not taken your or your clients' circumstances into account when preparing our website content so it may not be applicable to the particular situation you are considering. You should consider your and your clients' circumstances, as well as our Product Disclosure Statements (PDS), before making any investment decision or recommendation. You can access our PDS on this website or by calling us. Past performance is not indicative of future performance.

© Copyright 2008 Vanguard Investments Australia Ltd

Vanguard Investments Australia