Investment return objective

Minimum suggested timeframe

Standard risk measure

Risk band - Risk level -
60% Complete
Very low
Medium
Very High
5 year annualised return pa
10 year annualised return pa
MONTH
YEAR
RETURN
OBJECTIVE
Actual
Objective

Unit Price

Benchmark asset allocation*

Growth
Defensive
* as at 28 September 2020

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See how $1,000 would have grown if you had selected this investment option between two dates in time. You’ll need to select more than one option to make the comparison.
This is for illustrative purposes only and does not take into consideration any contributions, redemptions, taxes or other fees that may be applicable to members.  Past performance is not an indication of future performance.

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Past performance is not an indication of future performance.

Asset allocation description:

The portfolio will invest in deposits with, or short-term discount securities (bank bills and negotiable certificates of deposit) issued by, major Australian banks. It may also invest in short-dated debt issued and guaranteed by the Australian Commonwealth or State Governments. All securities will have a maximum term to maturity of three months. This option is not a deposit by you in a bank account and your balance is not guaranteed under the Australian Government bank deposit guarantee scheme.