| Performance objective
To outperform (after fees and taxes) the rate of increase in inflation as measured by the Consumer Price Index by 4% per annum over the longer term, and over at least two thirds of all rolling five-year periods.
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| Strategies
Invest in a diversified portfolio with a high exposure to property and share investments.
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Probability of a negative return One in 6 years or 17% p.a. |
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| Investment Management Fee
0.52% of assets per annum (or $5.20 per $1,000 invested)
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External Investment Costs 0.31% of the underlying investment per annum (or $3.10 per $1,000 invested) |
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| Target Asset Allocation |

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