Investment

Prices

The NAV price is the value of the fund’s net assets relating to the portion of assets that form part of the ETF class of units, divided by the number of ETF units. All NAV prices will be shown in Australian dollars except for the cross-listed NAV prices which are in US dollars.

* The Interim NAV Price is an early indicative NAV calculated by Vanguard and usually published by 10am (EST) next business day. While every effort is made to ensure that the Interim NAV Price is as close to the NAV Price, the Interim NAV price cannot be guaranteed and is subject to change. The Interim NAV Price is a reference point for an indicative value until such a time as the NAV Price is published, usually by 3pm (EST) next business day.

 

ETF Security Prices (AUD)

Code: A unique code used by the Australian Securities Exchange for the trading, clearing and settlement of securities.
Last:
The last sale price delayed by at least 20 minutes.
+/- : The change in the current value from that of the previous day’s close.
% : The change in the current value from that of the previous day’s close expressed as a percentage.
Volume: The number of securities traded on and off market so far today.

 

Paritech Disclaimer
The material provided is copyright and is published under licence from Paritech and/or from ASX Operations. You may use this material for your own personal reference only. Except for the temporary copy held in the computer's cache, the material may not otherwise be used, copied, reproduced, published, stored in a retrieval system, altered, transmitted in any form or by any means in whole or in part (except where such use constitutes fair dealing under the Copyright Act) without the prior written approval of Paritech. Neither Paritech nor ASX Operations nor their directors or employees make any representation or warranty as to the timeliness, reliability, accuracy or completeness of the material, nor do they accept any responsibility arising in any way for errors in, or omissions from, that material. Please refer to Terms and Conditions of Use.

Important notes about ETFs:

Only authorised trading participants under the Australian Securities Exchange (ASX) market rules can apply to create and redeem ETF securities directly with Vanguard.

Other investors must buy and sell ETF securities on the secondary market through the ASX, with the assistance of their broker or adviser. In doing so, the investor will incur brokerage and may pay more than the net asset value price when buying and receive less than the net asset value price when selling.

All ETF products are subject to market risk which may result in the loss of capital. Past performance is no guarantee of future results. Vanguard Investments Australia Ltd (ABN 72 072 881 086 / AFS Licence 227263 / RSE Licence L0001335) is the product issuer. We have not taken your circumstances into account when preparing the above information so it may not be applicable to your circumstances. You should consider your circumstances and our Product Disclosure Statement or Prospectus before making any investment decision.
GENERAL ADVICE WARNING

Vanguard Investments Australia Ltd (ABN 72 072 881 086 / AFS Licence 227263) is the product issuer. We have not taken your circumstances into account when preparing the above information so it may not be applicable to your circumstances. You should consider your circumstances and our Product Disclosure Statement (PDS) before making any investment decision. You can access our PDS on our website or by calling us. This information was prepared in good faith and we accept no liability for any errors or omissions. Past performance is not an indication of future performance.

We are the trustee of: Vanguard® Personal Superannuation Plan ABN 81 550 468 553 / Vanguard® LifeStrategy® Index PST - Conservative ABN 73 765 732 050 / Vanguard ® LifeStrategy® Index PST – Balanced ABN 23 846 775 905 / Vanguard ® LifeStrategy® Index PST - Growth ABN 95 836 361 772 / Vanguard® LifeStrategy® Index PST – High Growth ABN 61 378 605 876.

© 2010 Vanguard Investments Australia Ltd. ‘Vanguard’, ‘Vanguard Investments’, ‘LifeStrategy’ and the ship logo are the trademarks of The Vanguard Group, Inc.