Growth Option - iQ Retirement (Pension)
Manager | Allocation (%) |
---|---|
Russell Investments Australian Opportunities Fund | |
Allan Gray | 1.07 |
Ausbil Investment Management | 1.34 |
Firetrail Investments | 1.25 |
L1 Capital (Catalyst) | 0.62 |
Platypus Asset Management | 1.25 |
Russell Investments | 0.27 |
Russell Investments | 0.8 |
Vinva | 1.07 |
WaveStone Capital | 1.25 |
Russell Investments After-Tax Australian Shares Fund | |
Ausbil | 2.85 |
DFA | 1.74 |
Liquidity Reserve | 0.37 |
Numeric Investors | 2.48 |
Platypus | 2.48 |
Russell Investments | 1.24 |
Russell Investments | 1.24 |
Russell Investments Australian Factor Exposure Fund | |
Russell Investments | 14.2 |
Russell Investments Multi-Asset Factor Exposure Fund | |
Russell Investments | 15.3 |
Russell Investments Tax Effective Global Shares Fund | |
J O Hambro Capital Management | 1.95 |
Liquidity Reserve | 0.69 |
Morgan Stanley | 1.84 |
Nissay Asset Management | 2.18 |
Numeric Investors | 2.3 |
Oaktree Capital | 2.3 |
Russell Investments | 4.13 |
RWC Partners | 1.49 |
Sanders Capital | 3.56 |
StonePine Asset Management | 2.52 |
Vanguard International Property Securities Index Fund (Hedged) | |
Vanguard | 4.5 |
Vanguard Australian Property Securities Index Fund | |
Vanguard | 3.5 |
Metrics Credit | |
Metrics Credit | 2.5 |
Russell Investments Australian Bond Fund | |
Macquarie Asset Management | 0.38 |
Russell Investments | 0.75 |
UBS | 0.38 |
Western Asset Management | 1 |
Russell Investments Australian Floating Rate Fund - Fixed Income Portion | |
Perpetual | 3.37 |
Russell Investments International Bond Fund - $A Hedged | |
BlueBay | 0.44 |
Russell Investments | 0.21 |
Russell Investments | 0.3 |
Russell Investments | 0.05 |
Schroders | 0.2 |
Western Asset Management | 0.32 |
Russell Investments Floating Rate Fund | |
First Eagle Alternative Credit | 0.4 |
Intermediate Capital Group PLC | 0.96 |
Liquidity Reserve | 0.04 |
TwentyFour Asset Management | 0.6 |
Russell Investments Australian Floating Rate Fund - Cash Portion | |
Russell Investments | 1.63 |
Vanguard Global Infrastructure Fund (Hedged) | |
Vanguard | 4.75 |
As at 06/06/2023 |
Asset Class | Allocation (%) |
---|---|
Australian Equities | 35.5 |
International Equities | 38.25 |
Property | 8 |
Fixed Income | 11.87 |
Cash | 1.63 |
Infrastructure | 4.75 |
As at 06/06/2023 |
Fund | Allocation (%) |
---|---|
Australian Equities | |
Russell Investments Australian Opportunities Fund | 8.9 |
Russell Investments After-Tax Australian Shares Fund | 12.4 |
Russell Investments Australian Factor Exposure Fund | 14.2 |
International Equities | |
Russell Investments Multi-Asset Factor Exposure Fund | 15.3 |
Russell Investments Tax Effective Global Shares Fund | 22.95 |
Property | |
Vanguard International Property Securities Index Fund (Hedged) | 4.5 |
Vanguard Australian Property Securities Index Fund | 3.5 |
Fixed Income | |
Metrics Credit | 2.5 |
Russell Investments Australian Bond Fund | 2.5 |
Russell Investments Australian Floating Rate Fund - Fixed Income Portion | 3.37 |
Russell Investments International Bond Fund - $A Hedged | 1.5 |
Russell Investments Floating Rate Fund | 2 |
Cash | |
Russell Investments Australian Floating Rate Fund - Cash Portion | 1.63 |
Infrastructure | |
Vanguard Global Infrastructure Fund (Hedged) | 4.75 |
As at 06/06/2023 |
Inception Date | 1 Month | 3 Months | 1 Year | 3 Years | 5 Years | Since Inception |
---|---|---|---|---|---|---|
1/7/2007 | 2.02% | 1.86% | 2.48% | 10.43% | 6.45% | 5.03% |
Past performance is not a reliable indicator of future performance. Performance is net of fees and charges. Performance for periods longer than 1 year are annualised. This information has been prepared for the purpose of providing general information, without taking into account your objectives, financial situation or needs. Before making an investment decision, you need to consider whether this information is appropriate to your objectives, financial situation or needs. Please consult your financial adviser. This information has been compiled from sources considered to be reliable, but is not guaranteed. Any potential investor should consider the relevant PDS in deciding whether to acquire, or continue to hold units in a fund. |
Fund detail
Assets under management | $38,627,111(As at 01/06/2023) |
---|---|
Fund inception | 1st July 2007 |
Minimum Investment timeframe | 6 years |
Investment return objective | To earn a return after costs, exceeding CPI by 4.0% p.a., measured over rolling 5 year periods. |
Investment strategy | Typically exposed to a diversified mix of around 90% growth investments and around 10% defensive investments. May be exposed to derivatives. |