Suitability and risk

Suits members who want exposure to a range of mainly higher risk asset classes and are comfortable with the value of their investments fluctuating.

10 years
Suggested minimum investment time frame
Medium to High
Summary risk level
Pre-Mixed
Option type
$49.4 billion

Option size1

As at 30 June 2024

Expected frequency of negative annual return
Three to less than four in 20 years
Total investment fees and costs and transaction costs (%)
Super: 0.63% | Pension: 0.56%

Objective and performance

To invest in a diversified portfolio of mainly higher risk assets such as Australian and international shares, property, infrastructure and private equity, with some fixed interest and cash investments.

Objective

To achieve returns (after taxes and investment expenses, before deducting account-based fees) that are at least 3% p.a. more than inflation (CPI) over the suggested time frame.2

Performance against objective

2
% p.a. over 10 years
As at 30 Jun 2024
CPI + 3% Balanced performance Outperformance
5.7 7.9 2.2
Performance objectives are not promises or predictions of any particular rate of return.

        

        

Performance

2
% p.a.
As at 30 Sep 2024
Timeframe Balanced return
1 month 1.22
3 months 3.28
Financial year to date 3.28
1 year 14.19
3 years 5.24
5 years 6.87
7 years 7.81
10 years 8.12
Periods less than a year are not annualised.

Balanced option performance ($)

2
As at 29 Oct 2024

Objective

To achieve returns (after taxes and investment expenses, before deducting account-based fees) that are at least 3% p.a. more than inflation (CPI) over the suggested time frame.2

Performance against objective

2
% p.a. over 10 years
As at 30 Jun 2024
CPI + 3% Balanced performance Outperformance
5.7 8.8 3.1
Performance objectives are not promises or predictions of any particular rate of return.

        

        

Performance

2
% p.a.
As at 30 Sep 2024
Timeframe Balanced return
1 month 1.37
3 months 3.69
Financial year to date 3.69
1 year 15.92
3 years 5.75
5 years 7.57
7 years 8.69
10 years 9.05
Periods less than a year are not annualised.

Balanced option performance ($)

2
As at 29 Oct 2024

Allocations

Strategic asset allocation

3
As at 28 September 2024
Asset class Allocation
International Shares
31.0%
Australian Shares
28.0%
Cash & Fixed Interest
26.0%
Infrastructure & Private Equity
11.0%
Property
4.0%

Major holdings

4

By value (descending order) as at 30 Jun 2024

5
Australian Shares
  • BHP Group Ltd
  • Transurban Group
  • Commonwealth Bank of Australia
  • CSL Ltd
  • National Australia Bank Ltd
  • Rio Tinto Ltd
  • Scentre Group
  • Macquarie Group Ltd
  • Pendal Australian Long/Short Fund
  • GPT Group
International Shares
  • Microsoft Corp
  • NVIDIA Corp
  • Apple Inc
  • Alphabet Inc
  • Amazon.com Inc
  • JPMorgan Chase & Co
  • ASML Holding NV
  • Taiwan Semiconductor Manufacturing Co Ltd
  • Novo Nordisk A/S
  • Eli Lilly and Co
Property
  • Burrah Park Trusts
  • Karrinyup Shopping Centre WA
  • Quarry Estate Trust
  • Australian Core Retail Trust
  • Truganina Estate Trust
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