Suitability and risk

Suits members who want to invest in a specific asset class and are comfortable with the value of their investments fluctuating.

7 years
Suggested minimum investment time frame
High
Summary risk level
Sector
Option type
$2.0 billion

Option size1

As at 30 September 2024

Expected frequency of negative annual return
Four to less than six in 20 years
Total investment fees and costs and transaction costs (%)
Super: 0.58% | Pension: 0.51%

Objective and performance

To invest in a diversified portfolio of global shares and securities, which may include up to 10% in Australian shares.

Objective

To achieve returns (after taxes and investment expenses, before deducting account-based fees) that are at least 4% p.a. more than inflation (CPI) over the suggested time frame.2

Performance against objective

2
% p.a. over 7 years
As at 31 Dec 2024
CPI + 4% International Shares performance Outperformance
7.2 10.4 3.2
Performance objectives are not promises or predictions of any particular rate of return.

        

        

Performance

2
% p.a.
As at 28 Feb 2025
Timeframe International Shares return
1 month -1.27
3 months 2.45
Financial year to date 10.36
1 year 14.83
3 years 9.82
5 years 10.99
7 years 10.33
10 years 10.29
Periods less than a year are not annualised.

International Shares option performance ($)

2
As at 27 Mar 2025

Objective

To achieve returns (after taxes and investment expenses, before deducting account-based fees) that are at least 4% p.a. more than inflation (CPI) over the suggested time frame.2

Performance against objective

2
% p.a. over 7 years
As at 31 Dec 2024
CPI + 4% International Shares performance Outperformance
7.2 11.2 4.0
Performance objectives are not promises or predictions of any particular rate of return.

        

        

Performance

2
% p.a.
As at 28 Feb 2025
Timeframe International Shares return
1 month -1.39
3 months 2.71
Financial year to date 11.46
1 year 16.24
3 years 10.89
5 years 11.89
7 years 11.15
10 years 11.10
Periods less than a year are not annualised.

International Shares option performance ($)

2
As at 27 Mar 2025

Allocations

Strategic asset allocation

3
As at 28 March 2025
Asset class Allocation
International Shares
100.0%
Australian Shares
0.0%

Regional allocation

As at 30 September 2024
Region Allocation
USA
63.9%
Europe
12.5%
Asia ex Japan
9.8%
Japan
9.0%
Australia
3.1%
Other Developed
1.2%
Other Emerging
0.5%
  • Countries exposure
    • USA
    • Japan
    • United Kingdom
    • Australia
    • China
    • India
    • Taiwan
    • Germany
    • France
    • South Korea
    As at 30 Sep 2024

Sector allocation

As at 30 September 2024
Sector Allocation
Information Technology
29.2%
Financials
15.2%
Health Care
13.7%
Consumer Discretionary
10.6%
Industrials
8.9%
Communication Services
7.3%
Consumer Staples
4.1%
Utilities
3.3%
Materials
2.9%
Energy
2.9%
Real Estate
1.8%

Major holdings

4

By value (descending order) as at 30 Sep 2024

5
  • Apple Inc
  • Microsoft Corp
  • NVIDIA Corp
  • Amazon.com Inc
  • Alphabet Inc
  • Eli Lilly and Co
  • Meta Platforms Inc
  • Taiwan Semiconductor Manufacturing Co Ltd
  • London Stock Exchange Group PLC
  • Broadcom Inc
X
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