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THE AUSTRALIAN SHARES OPTION

Strategic Asset Allocation as at 1 November 2011


Objective: The Australian Shares Option seeks high returns in the long term through an exposure to market risk. The option aims to out-perform the returns of the S&P ASX300 Accumulation Index gross of franking credits (before fees and tax).

Strategy: The Australian Shares Option seeks high returns in the long term. It consists of investments in listed Australian shares within the S&P ASX300 Accumulation Index. The portfolio utilises a line-up of managers and investment strategies which aim to diversify exposure to market risk.

Level of risk:
 Very high. This option is likely to exhibit return volatility in the short term and has an estimated probability of a negative return in seven years out of every 20 years. The option has significant exposure to market risk through daily movements in the market value of listed equity. This results in high volatility of returns in the medium term in comparison with other options.

Typical investor: Members who are able to take on above-average risk with an investment horizon of at least seven years.

 

Performance Crediting Rates

For the latest crediting rates, please refer to the crediting rates

For any queries, please call us on 1300 362 415

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