MyNorth Investment Options

Size: px
Start display at page:

Download "MyNorth Investment Options"

Transcription

1 MyNorth Options Contents Core investment options Select investment options Choice investment options Standard Measure Other important information This document outlines the investment options available through the MyNorth Super and Pension product disclosure statement (PDS), MyNorth Super and Pension Guarantee PDS, MyNorth investor directed portfolio service (IDPS) guide and the MyNorth Guarantee PDS MyNorth offers a range of investment options featuring: over 0 managed funds listed securities on the Australian Securities Exchange (ASX) exchange traded funds (ETFs) and exchange traded commodities (ETCs) listed investment companies (LICs) and listed investment trusts (LITs) Australian real estate investment trusts (AREITs), and term deposits. From time to time, we'll add or remove investment options. We recommend you consult your financial adviser before selecting the specific investment options for your investment strategy. The investment costs presented in this document are estimates only and include the management fee and expense recoveries, but exclude abnormal operating expenses and any performance fees that may be charged. Before selecting an investment option, you should refer to the latest investment costs set out in the relevant product disclosure statement for the particular fund. For more information on fees and costs please refer to the MyNorth Super and Pension PDS Part A, MyNorth Super and Pension Guarantee PDS Part B, MyNorth IDPS Guide or the MyNorth Guarantee PDS as applicable to you. Please submit all investment instructions through North Online, available via northonline.com.au. Issue number 2, 0 May 20 Registered trademark of The National Mutual Life Association of Australasia ABN AFS Licence No. 29

2 Core investment options APIR code MyNorth Active AMP208AU MyNorth Dynamic Balanced Fund 0. 0./0. MyNorth Index IPA080AU MyNorth Index Defensive /0.08 IPA08AU MyNorth Index Moderately Defensive 0. IPA082AU MyNorth Index Balanced /0.2 IPA08AU MyNorth Index Growth 0. 0./0. IPA08AU MyNorth Index Growth 0. 0./0. 2

3 Select investment options Managed funds APIR code Cash Option NML008AU AMP Capital Cash Management Trust (W) 0.2 North Professional Series IPA0AU North Professional Conservative (i) /0.8 IPA0080AU North Professional Moderately Conservative (i) /0.2 IPA00AU North Professional Balanced (i) /0.2 IPA00AU North Professional Alternative Balanced (i).0 0.2/0.2 IPA008AU North Professional Growth (i) /0.28 IPA009AU North Professional Growth (i).0 0.2/0.2 AMP Capital Goals Based Series AMP0AU AMP Capital Corporate Bond Fund 0.2 AMP90AU AMP Capital Equity Income Generator IPA00AU AMP Capital Income Generator (ii) /0. AMP8AU AMP Capital Multi Asset Fund (i) 0.0/0. IPA08AU AMP Capital Premium Growth Fund (i).9 0.9/0.8 AMP Capital Specialists Series AMP08AU AMP Capital Specialist Australian Share Fund 0.82 AMP09AU AMP Capital Specialist Australian Small Companies Fund (i).8 0./0. AMP992AU AMP Capital Specialist Diversified Fixed Income Fund /0.2 AMP099AU AMP Capital Specialist Geared Australian Share Fund (iii). 0.0/0.0 AMP082AU AMP Capital Specialist International (Hedged) Share Fund (i) /0.0 AMP082AU AMP Capital Specialist International Share Fund /0.0 AMP990AU AMP Capital Specialist Property and Infrastructure Fund. 0.28/0.28 AMP Capital single sector and other funds AMP820AU AMP Capital Australian Equity Concentrated Fund (iv). AMP8AU AMP Capital Australian Equity Opportunities Fund Class A (iv) 0.0/0.0 NML00AU AMP Capital Australian Equity Value Fund (W) 0.8 AMP9AU AMP Capital Core Infrastructure Fund (i).20 0./0. AMP0AU AMP Capital Core Property Fund Class A (v).2 0./0. AMP92AU AMP Capital Dynamic Markets Fund (i) /0. AMP0AU AMP Capital Future Directions International Bond Fund (i) AMP9AU AMP Capital Global Infrastructure Securities Fund (Hedged) (i) /0.0 AMP9AU AMP Capital Global Infrastructure Securities Fund (Unhedged) (i) /0.0 AMP09AU AMP Capital Global Property Securities Fund 0./0. AMP0AU AMP Capital Responsible Leaders International Share Fund. AMP098AU AMP Capital Wholesale Australian Bond Fund 0.8 NML000AU AMP Capital Wholesale Australian Property Fund (v).0

4 AMP Capital Experts' Choice Series HLR0002AU AMP Capital Experts Choice Australian Shares Fund 0.2/0.2 HLR000AU AMP Capital Experts Choice Balanced Fund /0.2 HLR000AU AMP Capital Experts Choice Conservative Fund /0. HLR000AU AMP Capital Experts Choice Diversified Interest Income Fund /0.2 HLR000AU AMP Capital Experts Choice Growth Fund 0.2/0.2 HLR000AU AMP Capital Experts Choice International Shares Fund. 0.2/0.22 HLR0022AU AMP Capital Experts Choice Property and Infrastructure Fund.0 0.2/0.2 HLR000AU AMP Capital Experts Choice Short Term Money Market Fund 0.0 HLR002AU AMP Capital Experts Choice Small Companies Fund. 0.2/0.2 ipac Life Choices Series IPA0AU ipac Life Choices Active 0 (i),(iv) /0.2 IPA0AU ipac Life Choices Active 0 (i),(iv) /0.2 IPA0AU ipac Life Choices Active 8 (i),(iv) /0.28 IPA0AU ipac Life Choices Active 00 (i),(iv).0 0.0/0.0 IPA0AU ipac Life Choices Alternative Balanced (i),(iv).0 0.2/0.2 IPA08AU ipac Life Choices Income Generator (i),(iv) /0.22 IPA02AU ipac Life Choices Premium Growth (i),(iv).9 0.9/0.8 (i) (ii) (iii) (iv) (v) cost is exclusive of any performance fee, however this investment option may charge a performance fee. Please refer to the fund s PDS for information about how the performance fee is calculated. This investment option will distribute income monthly in cash. The investment option may also pay any realised capital gains and any other distributable. The investment cost is based on the gross (g) and net (n) assets of the fund. The gross investment cost calculation includes borrowings. This investment option is closed to new investors. Existing investors that hold the fund can continue to purchase additional units. This asset is defined as an illiquid investment under superannuation law. This means it is unlikely that it can be redeemed and proceeds returned to the member/investor within 0 days and may take up to 20 days. For an explanation of illiquid investments please refer to Liquidity risk in the MyNorth Super and Pension PDS Part A or the MyNorth IDPS Guide. Term deposits Provider AMP ANZ Adelaide Bank Westpac Please refer to northonline.com.au for the current list of terms and rates. Term deposits are not currently available on accounts with a Guarantee. Cash Account Please refer to northonline.com.au for the Cash Account performance report.

5 Choice investment options Managed funds Managed funds available with a MyNorth Guarantee. APIR code Buy/Sell IPA09AU North Guardian Moderately Defensive /0.0 IPA0AU North Guardian Balanced /0.0 IPA08AU North Guardian Growth /0.0 Managed funds eligible for an administration fee discount. APIR code Admin fee discount (% pa) (i) AMP20AU MyNorth AllianceBernstein Dynamic Global Fixed Income Fund /0. AMP202AU MyNorth Alphinity Australian Share Fund 0.0 AMP208AU MyNorth Bentham Global Income Fund /0.0 AMP208AU MyNorth Grant Samuel Epoch Global Equity Shareholder Yield Fund (Unhedged) AMP20AU MyNorth Ironbark Karara Australian Share Fund (ii) AMP2080AU MyNorth Magellan Global Fund (ii) AMP208AU MyNorth Perennial Value Income Wealth Defender Fund /0.0 AMP2082AU MyNorth PIMCO Diversified Fixed Interest Fund /0. AMP200AU MyNorth RARE Infrastructure Value Fund Hedged (ii) /0. AMP20AU MyNorth UBS HALO Australian Share Fund 0.0 (i) (ii) This discount applies to the administration fee published in the Choice menu in the MyNorth Super and Pension PDS and MyNorth IDPS Guide. cost is exclusive of any performance fee, however this investment option may charge a performance fee. Please refer to the fund s PDS for information about how the performance fee is calculated. All other managed funds available through the Choice menu. APIR code Multisector Cautious FSF00AU Colonial First State (W) Conservative Fund (i) 0. SBC08AU UBS Defensive Fund /0. Conservative BAR08AU Blackrock Scientific Diversified Stable Fund /0. VAN009AU Vanguard Conservative Index Fund /0.2 Balanced BAR08AU BlackRock Scientific Diversified Growth Fund 0.9 PWA0822AU BlackRock Wholesale Balanced Fund /0.8 FSF0008AU Colonial First State Diversified Fund (W) 0.9 MPL080AU Maple-Brown Abbott Funded Super Fund (i) /0.9 PER00AU Perpetual PST Balanced Growth Fund (i),(vii).0 0./0. PER00AU Perpetual Balanced Growth Fund (W).0 0./

6 Multisector (continued) Balanced (continued) SCH002AU Schroder Balanced Fund Wholesale Class 0.22/0.22 SBC08AU UBS Balanced Fund 0.9 VAN008AU Vanguard Balanced Index Fund /0.2 Moderately Aggressive DFA0029AU Dimensional Multi-Factor Growth Trust (ii) 0.8 VAN00AU Vanguard Growth Index Fund /0.2 Aggressive VAN0AU Vanguard Growth Index Fund /.02 Specialist CRS000AU Aberdeen Multi Asset Income fund /0.20 CRS0002AU Aberdeen Multi Asset Real Return Fund 0.8 MAL008AU BlackRock Global Allocation Australian Fund (iii) /0.0 MAL0029AU BlackRock Global Allocation Fund /0.0 SCH009AU Schroder Real Return CPI +.% Fund Wholesale Class /0.8 2 Low SCH00AU Schroder Real Return CPI +% Fund Wholesale Class SST002AU State Street Retirement Lifestyle Builder Fund /0.0 SST00AU State Street Retirement Lifestyle Sustainer Fund /0.28 SST00AU State Street Retirement Lifestyle Provider Fund /0.2 Cash Cash and Deposits SBC08AU UBS Cash Fund 0.2 Short Term Fixed Interest DDH0009AU DDH Cash Fund 0.22 DFA000AU Dimensional Short Term Fixed Interest (ii) 0.9 MAQ020AU Macquarie Australian Diversified Income Fund /0.20 MAQ00AU Macquarie (W) Treasury Fund (i) 0. / VAN002AU Vanguard Cash Plus Fund 0.29 Fixed Interest Australian Fixed Interest CRS000AU Aberdeen Australian Fixed Income Fund 0. /0.0 CSA00AU Aberdeen Income Focused Bond Fund 0.2 /0.0 CRS0008AU Aberdeen Inflation Linked Bond Fund /0. BGL00AU BlackRock Indexed Australian Bond Fund /0.08 RFA08AU BT Fixed Interest (W) / WFS0AU BT Wholesale Enhanced Cash Fund /0.0 TYN00AU Nikko AM Australian Bond Fund /0.0 IOF00AU Henderson Cash Enhanced Fund 0. IOF0AU Henderson Tactical Income Fund 0. ETL00AU PIMCO EQT Australian Bond Fund (W) 0.0 /0.0 ETL082AU PIMCO EQT Wholesale Australian Focus Fund 0.0 /0.0 SBC08AU UBS Australian Bond Fund /0.0 VAN000AU Vanguard Australian Fixed Interest Index Fund (W) 0.2 VAN002AU Vanguard Australian Government Bond Index Fund /0.

7 Fixed Interest (continued) Diversified Fixed Interest BTA08AU BT Wholesale Monthly Income Plus Fund 0. 0./0. JBW008AU Goldman Sachs Core Plus Australian Fixed Income Fund 0.9 HOW002AU Kapstream Absolute Return Income Fund (W) 0.0 MAQ02AU Macquarie Diversified Fixed Interest Fund (iii) /0.08 ETL00AU PIMCO EQT Diversified Fixed Interest Fund (W) 0.0 /0.0 SCH0028AU Schroder Fixed Income Fund - Wholesale Class /0.2 SBC000AU UBS Diversified Fixed Income Fund /0. Global Fixed Interest ADV00AU Advance International Fixed Interest Multi Blend Fund 0. BGL0008AU BlackRock Global Bond Index Fund /0. DFA008AU Dimensional Five-Year Diversified F/I (ii) 0.28 /0.0 DFA0028AU Dimensional Global Bond Trust (ii) 0. /0.0 DFA0002AU Dimensional Two-Year Diversified F/I (ii) 0.2 /0.0 ETL008AU PIMCO EQT Global Bond Fund (W) 0.9 /0.0 ETL0020AU PIMCO EQT Global Real Return Fund (W) 0. /0.20 ETL098AU T. Rowe Price Dynamic Global Bond 0. 0./0. VAN00AU Vanguard International Fixed Interest Index Fund (Hedged) (W) 0.2 Annuities MLT0002AU Challenger Guaranteed Income Fund (.0 cents p.a. 0 June 20) MLT000AU Challenger Guaranteed Income Fund (. cents p.a. 0 September 20) MLT000AU Challenger Guaranteed Income Fund (.8 cents p.a. 0 September 208) MLT000AU Challenger Guaranteed Income Fund (. cents p.a. March 2020) MLT000AU Challenger Guaranteed Income Fund (.0 cents p.a. 0 Sept 20) HOW009AU Challenger Guaranteed Income Fund (.0 cents pa 0 Jun 20) HOW00AU Challenger Guaranteed Income Fund (.0 cents pa 0 Jun 20) (iv) Specialist ACM000AU AllianceBernstein Dynamic Global Fixed Income Fund /0. FRT00AU Franklin Templeton Multisector Bond Fund (W) 0.9 JBW009AU Goldman Sachs Global Strategic Bond Fund 0.80 PER02AU JPMorgan Global Strategic Bond Fund /0. SSB00AU Legg Mason Brandywine Global Opportunistic Fixed Income Fund (Class A) /0.09

8 Fixed Interest (continued) Credit CSA008AU Bentham Global Income Fund (W) 0. 0./0. CSA00AU Bentham Syndicated Loan Fund (W) /0. MAL002AU BlackRock Monthly Income Fund (W) 0. /0.20 FSF008AU Colonial First State Global Credit Income Fund (W) 0. MAQ02AU Macquarie Income Opportunities Fund /0. PER020AU Perpetual Diversified Income Fund (W) 0.0 ETL009AU PIMCO EQT Global Credit Fund (W) 0. /0.20 PMC00AU PM Capital Enhanced Yield Fund (iii) 0. PGI000AU Principal Global Credit Opportunities Fund 0.80 SCH00AU Schroder Credit Securities Fund Wholesale Class 0. UBS000AU UBS Diversified Credit Fund /0.2 VAN00AU Vanguard International Credit Securities Indexed Hedged Fund 0. Property Australian Property NFS0209AU Antares Listed Property Fund /0. APN0008AU APN AREIT Fund 0.8 AUS00AU Australian Unity Healthcare Property Trust Class A Units /0.0 BGL008AU BlackRock Indexed Australian Listed Property Fund 0.20 RFA08AU BT Property Fund (W) / MAQ08AU Charter Hall Direct Industrial Fund (iii) 0.0 CRM008AU Cromwell Direct Property Fund (iii) 0.80 CRM002AU Cromwell Phoenix Core Listed Property Fund 0.80 PAL0002AU Ironbark Paladin Property Securities Fund 0.88 SSB002AU Legg Mason Australian Real Income Fund 0. SSB028AU Legg Mason Property Securities Trust Class A 0. MAQ00AU Macquarie Master Property Securities Fund (i) 0.2 HBC0008AU SG Hiscock Property Securities Fund (W) 0.8 CRS000AU SG Hiscock Wholesale Property Fund /0.0 SBC08AU UBS Property Securities Fund /0. VAN000AU Vanguard Australian Property Securities Index Fund (W) /0. ZUR00AU Zurich Australian Property Securities Fund /0.0 Global Property DFA000AU Dimensional Global Real Estate Trust (ii) 0.2 ETL000AU EQT SGH LaSalle Global Listed Property Securities Trust.0 GTU00AU Invesco Wholesale Global Property Securities Fund (Hedged) /0. MGL000AU Ironbark Global (Ex-Australia) Property Securities Fund. 0.0/0.0 IOF008AU Resolution Capital Global Property Securities Fund (Hedged) Series II.0 0.0/0.0 IOF08AU Resolution Capital Global Property Securities (Unhedged) Series II.0 0.0/0.0 WHT00AU Resolution Capital Property Securities Fund /0.0 RIM00AU Russell Intl Property Securities $A Hedged Class A Fund (i) /0. HML00AU UBS Clarion Global Property Securities Fund VAN008AU Vanguard International Property Securities Index Fund 0.0 VAN009AU Vanguard International Property Securities Index Fund (Hedged) /0.0 8

9 Australian Equities Income PPL0002AU Antares Dividend Builder /0. ETL08AU Armytage Australian Equity Income Fund 0.9 BTA028AU BT Balanced Equity Income Fund. RFA00AU BT Imputation Fund (W) FSF09AU Colonial First State Equity Income Fund (W).2 IML000AU Investors Mutual Equity Income Fund SSB00AU Legg Mason Martin Currie Equity Income Trust 0.8 ADV00AU Maple-Brown Abbott Australian Share Fund (W) /0.2 HBC00AU Merlon Australian Share Income Fund (W) 0.9 IOF008AU Perennial Value Shares for Income Trust /0.0 WHT009AU Plato Australian Shares Income Fund WHT00AU Plato Australian Shares Income Fund (Managed ) TYN008AU Nikko AM-Tyndall Australian Share Income Fund /0.0 VAN00AU Vanguard Australian Shares Yield Fund /0.0 ZUR08AU Zurich Equity Income Fund.9 Mid/Small/Micro Cap CSA0AU Aberdeen Australian Small Companies Fund.2 CRS000AU Aberdeen Ex-20 Australian Equities Fund 0.9 AUS008AU Acorn Capital Microcap Fund. PPL00AU Antares Small Companies (iii) 0./0. AAP00AU Ausbil Australian Emerging Leaders Fund (iii) /0.0 AUG008AU Australian Ethical Australian Shares Fund /0.0 BFL000AU Bennelong ex-20 Australian Equities Fund (iii) /0.0 RFA089AU BT Small Companies Fund (W).2 0.0/ DFA00AU Dimensional Australian Small Company Trust (ii) 0.0 EGG000AU Eley Griffiths Small Companies Fund (iii).2 0.2/.02 ANT0002AU Fairview Equity Partners Emerging Companies Fund (iii) /0.0 FID002AU Fidelity Future Leaders Fund.20 BNT00AU Hyperion Small Growth Companies Fund (iii).2 0.0/0.0 IML000AU Investors Mutual Future Leaders Fund (W) (iii) IML000AU Investors Mutual Australian Small Companies PAT0002AU Ironbark Karara Australian Small Companies Fund (iii).20 HOW00AU Kinetic Emerging Companies Fund (W) (iii). 0.0/0.0 HOW002AU NovaPort Microcap Fund (W) (iii).0 0.0/0.0 HOW00AU NovaPort Smaller Companies Fund (W) (iii) 0.0/0.0 OPS0002AU OC Funds Management Premium Small Companies Fund (iii) /0.0 PER008AU Perpetual Smaller Companies Fund (W) (iii).2 0./0. ETL002AU SG Hiscock ICE Fund (iii).8 0./0. UBS000AU UBS Australian Small Companies (iii) /0. ZUR08AU Zurich Small Companies Fund (iii) 0.0/0.0 9

10 Australian Equities (continued) Large Cap ETL000AU Allan Gray Australia Equity Fund (iii) 0. PAM000AU Alphinity Australian Share (W) 0.0/0.0 ARO00AU Arnhem Australian Equity Fund /0.0 AAP00AU Ausbil Australian Active Equity Fund 0.0/0.0 BFL000AU Bennelong Australian Equities /0.0 BGL00AU BlackRock Indexed Australian Equity Fund /0.2 BAR08AU BlackRock Scientific Australian Equity Fund 0.9 BTA00AU BT Australian Share Fund (W) (iii) / RFA088AU BT Core Australian Share Fund (W) / RFA009AU BT Focus Australian Share Fund / CFM00AU Colonial First State Australian Share Fund Core (W) 0.9 PIM0028AU Dalton Nicol Reid Australian Equities Conviction Fund DFA000AU Dimensional Australian Core Equity Trust (ii) 0. DFA00AU Dimensional Australian Large Company Trust (ii) 0.2 DFA00AU Dimensional Australian Value Trust (ii) 0. FID0008AU Fidelity Australian Equities Fund 0.8 JBW0009AU Goldman Sachs Australian Equities Wholesale Fund 0.9 HOW00AU Greencape Broadcap Fund (W) (iii) /0.0 HOW00AU Greencape Conviction Fund (W) 0.0/0.0 BNT000AU Hyperion Australian Growth Companies Fund /0.0 ITG000AU Integrity Australian Share Fund 0.0/0.0 IML0002AU Investors Mutual Australian Share Fund (W) IML000AU Investors Mutual Concentrated Australian Share Fund PAT000AU Ironbark Karara Australian Share Fund MAQ0AU Macquarie Conviction Fund (iii) 0.92 TYN0028AU Tyndall Australian Share Portfolio (W) /0.0 TYN000AU Nikko AM-Tyndall Australian Share Concentrated Fund /0.0 IOF020AU Perennial Value Shares Trust (W) /0.0 PER009AU Perpetual Australian Share Fund (W) 0.0/ PER002AU Perpetual Concentrated Equity Fund (W).0 0./0. FSF09AU Realindex Australian Share Fund Class A 0. SCH00AU Schroder Australian Equity Fund (W) 0.92 ETL002AU SG Hiscock SGH20 Fund.2 WHT002AU Solaris Core Australian Equity Fund 0.0/0.0 SOL000AU Solaris Core Australian Equity Fund (Performance Alignment) (iii) /0.0 SBC08AU UBS Australian Share Fund 0.0/0.0 UBS002AU UBS HALO Australian Share Fund 0.0/0.0 VAN0002AU Vanguard Australian Shares Index Fund (W) 0.8 0

11 Australian Equities (continued) Specialist ACM000AU Alliance Bernstein Managed Volatility Equities Fund 0. PPL0AU Antares Elite Opportunities Fund (iii) /0. PPL00AU Antares Growth Shares Fund (iii).0 0./0. AAP0002AU Ausbil Australian Geared Equity (v).20(g)/2.0(n) 0.0/0.0 MAL002AU BlackRock Australian Equity Opportunities Fund (iii) /0.0 RFA002AU BT Ethical Share Fund (W) / RFA00AU BT Geared Imputation Fund (W) (v). 0.80/ CRE000AU Clime Australian Value Fund (W) (iii) 0.8 FSF089AU Colonial First State Acadian Aust Equity Long Short (W).2 0.0/0.0 FSF00AU Colonial First State Geared Share Fund (W) (iii),(v).0(g)/2.2(n) 0.0/0.0 FSF0AU Colonial First State Antares Elite Opportunities (W) (iii).0 IML000AU Investors Mutual Industrial Fund (W) KAM00AU K2 Australian Absolute Return Fund (iii). 0.0/0.0 FHT000AU The Montgomery Fund (iii).0 MMF9AU OnePath Protected AUS 0 Trust (W) /0.09 PCL000AU Pengana Australian Equities Fund (iii).2 IOF0228AU Perennial Value Wealth Defender Australian Shares Trust (iii) 0.0/0.0 PER0AU Perpetual Ethical SRI Fund (W).8 0./0. PER00AU Perpetual Geared Australian Share Fund (W) (v).(g)/2.(n) 0.8/0.8 PER008AU Perpetual PST Industrial Share Fund (i),(vii) 0.0/ PER00AU Perpetual Industrial Share Fund (W) 0.0/ PER002AU Perpetual Share Plus Long Short Fund (W) (iii) SST008AU State Street Australian Equity Fund /0.0 Global Equities Income GSF000AU Grant Samuel Epoch Global Shareholder Yield Fund (Hedged).0 GSF0002AU Grant Samuel Epoch Global Shareholder Yield Fund (Unhedged).2 HFL002AU Threadneedle Global Equity Income Fund (unhedged).0 Mid/Small/Micro Cap MAL0AU BlackRock Global Small Caps Fund.2 0.0/0.0 DFA00AU Dimensional Global Small Company Trust (ii) 0. 0./0. HOW0002AU Hunter Hall Value Growth Trust.8 HHA0002AU Hunter Hall Global Equities Trust (iii).8 LAZ002AU Lazard Global Small Cap Fund (W).2 0.0/0.0 ETL0AU Paradice Global Small Mid Cap Fund.0 0.0/0.0

12 Global Equities (continued) Large Cap EQI00AU Aberdeen International Equity Fund MAQ0AU Arrowstreet Global Equity Fund.28 0./0. BGL00AU BlackRock Indexed International Equity Fund /0.0 BAR08AU BlackRock Scientific International Equity Fund /0. MIA000AU MFS Global Equity Trust 0. 0./0. RFA082AU BT Core Global Share Fund (W) /0.0 DFA000AU Dimensional Global Core Equity Trust (ii) 0.9 DFA00AU Dimensional Global Large Company Trust (ii) 0. DFA002AU Dimensional Global Value Trust (ii) 0. FID000AU Fidelity Global Equities Fund. 0.0/0.0 FRT0009AU Franklin Global Growth Fund. GMO00AU GMO Global Equity Trust 0. MAQ00AU IFP Global Franchise Fund /0. MGL000AU Ironbark GTP Global Equity Thematic Fund 0.9 MGE000AU Magellan Global Fund (iii). ETL09AU Pan-Tribal Global Equity Fund.20 0./0. PER009AU Perpetual PST Global Share Fund (i),(iii),(vii).0 0.0/ MAQ088AU Polaris Global equity fund /0.2 FSF09AU Realindex Global Share Fund Class A /0. SCH000AU Schroder Global Value Fund 0.20/0. SCH000AU Schroder Global Core Fund /0.0 ETL00AU T. Rowe Price Global Equity Fund.8 0./0.20 FRT000AU Templeton Global Equity Fund. VAN000AU Vanguard International Shares Index Fund /0.0 MAQ00AU Walter Scott Global Equity Fund /0. ZUR080AU Zurich Global Growth Share Fund 0.08/0.08 ZUR00AU Zurich s Global Thematic Share Fund 0.08/0.08 Large Cap (Currency Hedged) CRS000AU Aberdeen Actively Hedged International Equities Fund CSA0AU Aberdeen Fully Hedged International Equities Fund MAQ009AU Arrowstreet Global Equity Fund (Hedged) /0.9 DFA0009AU Dimensional Global Core Equity Trust (Hedged) (ii) /0. MAQ0AU IFP Global Franchise Fund (Hedged).8 0./0.22 MGL008AU Ironbark GTP Global Equity Thematic (Fully Hedged). MGE000AU Magellan Global Fund (Hedged). ETL00AU MFS Fully Hedged Global Equity Trust /0. FSF09AU Realindex Global Share Hedged Fund Class A /0. VAN00AU Vanguard International Shares Index Fund (Hedged) /0. MAQ0AU Walter Scott Global Equity Fund (Hedged) /0. ZUR0AU Zurich s Hedged Global Thematic Share Fund 0.08/0.08 2

13 Global Equities (continued) Regional EQI0028AU Aberdeen Asian Opportunities Fund.8 0./0. ETL002AU Aberdeen Emerging Opportunities Fund.0 0./0. IOF020AU Antipodes Asia Fund /0.0 BTA00AU BT Wholesale Asian Share Fund / DFA00AU Dimensional Emerging Markets Trust (ii) 0. FID00AU Fidelity India Fund /0.0 FID000AU Fidelity Asia Fund. 0.0/0.0 LAZ000AU Lazard Emerging Markets Fund. 0.0/0.0 MAQ00AU Macquarie Asia New Stars No. Fund (iii) /0.0 MAQ0AU T Rowe Premium China Fund (iii) 2.0 PLA000AU Platinum Asia Fund.0 PLA000AU Platinum European Fund.0 PLA000AU Platinum Japan Fund.0 ETL08AU Robeco Emerging Conservative Equity Fund 0.0/0. SCH00AU Schroder Global Emerging Markets.0 0.0/0.0 ETL00AU T. Rowe Price Asia ex-japan Fund.20 0./0.0 VAN000AU Vanguard Emerging Markets Shares Index Fund /0.0 MAQ0AU Walter Scott Emerging Markets Fund.8 0.2/0.20 Specialist MAQ09AU Analytic Global Managed Volatility Fund /0.09 IOF00AU Antipodes Global Fund /0.0 MAL00AU BlackRock International Gold Fund (i).2 0./0. FSF089AU Colonial First State Acadian Geared Global Equity (W) (iv).2(g)/2.(n) 0.0/0.0 FSF0908AU Colonial First State Generation Wholesale Global Share Fund (iii).2 FSF008AU Colonial First State Global Resources Fund (W). MGL009AU Ironbark GTP Global Equity Agribusiness Fund. PCL000AU Pengana Global Resources Fund (iii). 0.0/0.0 PLA000AU Platinum International Brands Fund.0 PLA0002AU Platinum International Fund.8 PLA000AU Platinum Unhedged Fund.0 PMC000AU PM Capital Global Companies Fund (iii).09 Infrastructure Global LAZ00AU Lazard Global Listed Infrastructure Fund 0.0/0.0 MAQ02AU Macquarie International Infrastructure Securities Fund (Hedged).0 MAQ082AU Macquarie International Infrastructure Securities Fund (Unhedged).0 MGE0002AU Magellan Infrastructure Fund (iii).0 0./0. MGE000AU Magellan Infrastructure Fund (Unhedged) (i).0 0./0. TGP0008AU RARE Infrastructure Value Fund (Hedged) (iii) /0. TGP00AU RARE Infrastructure Value Fund (Unhedged) (iii) /0. VAN002AU Vanguard Global Infrastructure Index Fund 0.9 VAN002AU Vanguard Global Infrastructure Index Fund (Hedged) /0.0

14 Infrastructure (continued) Alternatives MAN0002AU MAN AHL Alpha Fund (iii).8 FSF08AU Aspect Diversified Futures Fund Class A (iii).2 AFM000AU Aurora Fortitude Absolute Return Fund (iii) /0.02 BFL000AU Bennelong Kardinia Absolute Return Fund. MAL009AU BlackRock Australian Equity Absolute Return Fund (iii) /0.0 BLK000AU BlackRock Multi Opportunity Absolute Return Fund (iii).0 0.0/0.0 GTU009AU Invesco Wholesale Global Targeted Returns Fund Class A /0.0 DEU009AU Ironbark Global Diversified Alternatives Fund (iii).0 HFL00AU Ironbark LHP Diversified s Fund.0 HFL008AU Ironbark LHP Global Long/Short Fund (iii),(vi).2 MAQ082AU Macquarie Winton Global Alpha Fund (iii) /0.0 ETL02AU Partners Group Global Value Fund (iii),(vi). PCL000AU Pengana Absolute Return Asia Pacific Fund (vi).0 (i) (ii) (iii) (iv) (v) (vi) (vii) This investment option is closed to new investors. Existing investors that hold the fund can continue to purchase additional units. Available through Dimensional approved advisers only. Advisers can contact Dimensional on cost is exclusive of any performance fee, however this investment option may charge a performance fee. Please refer to the fund s PDS for information about how the performance fee is calculated. This investment option has an early withdrawal fee. Refer to the investment option s underlying PDS, available from North Online, for further information. The investment cost is based on the gross (g) and net (n) assets of the fund. The gross investment cost calculation includes borrowings. This investment is defined as an illiquid investment under superannuation law. This means it is unlikely that it can be redeemed and proceeds returned to the member/investor within 0 days and may take up to 20 days. For an explanation of illiquid investments please refer to Liquidity risk in the MyNorth Super and Pension PDS Part A or the MyNorth IDPS Guide. This is a tax paid investment option and is only eligible to superannuation members.

15 Managed funds in specie only transfers In specie transfers allow you to transfer managed funds held outside of MyNorth into your MyNorth account. The transfer of managed funds into MyNorth is subject to agreement by the previous provider. You're permitted to transfer any existing holding of these managed funds, but you're not entitled to purchase additional units. For more information on in specie transfers, please contact your financial adviser. APIR code Multisector Conservative ADV009AU Advance Defensive Multi Blend Fund Low BTA000AU BT Conservative Outlook PST Fund (i) /0.09 BTA080AU BT Wholesale Conservative Outlook Fund / RIM0002AU Russell Conservative Fund /0. RIM002AU Russell II Portfolio 0. 0./0. RIM002AU Russell II Portfolio Class B Units /0. Balanced ADV000AU Advance Balanced Multi Blend Fund 0.8 BTA000AU BT Balanced Returns PST Fund (i) /0.2 RFA08AU BT Active Balanced Fund (W) / FSFAU Colonial First State FirstChoice Multi-Index Balanced Fund Class A 0. 0./0. UFM00AU IOOF MultiMix Moderate Fund (ii) /0.2 MPL000AU Maple-Brown Abbott Diversified Trust 0.8/0.8 MMF0AU Onepath Wholesale Managed Growth Trust (ii). 0.0/0.0 RIM000AU Russell Balanced Fund /0.9 RIM000AU Russell Div 0 Fund Class A Units /0.8 RIM002AU Russell IV Portfolio /0.9 ZUR0209AU Zurich (W) Super Managed Growth Fund /0.2 Moderately Aggressive ADV008AU Advance Growth Multi Balanced Fund.0 0.0/0.0 RFA082AU BT Active Balanced PST Fund (i) /0. RIM000AU Russell Growth Fund /0.2 RIM002AU Russell V Portfolio 0.22/0.2 RIM002AU Russell IV Portfolio Class B Units /0.9 RIM0028AU Russell V Portfolio Class B Units /0.2 RIM00AU Russell Growth Fund /0.2 Cash Short Term Fixed Interest SBC082AU UBS Cash Plus Fund /0.0 Credit Mortgages AMP08AU AMP Capital Wholesale Enhanced Yield Fund (iii) 0.8 NML000AU AMP Capital Australian Income Fund.8 NML02AU AMP Capital Wholesale Australian Income Fund. NML0AU AMP Capital Wholesale Australian Monthly Income Fund (iii) 0. AUS000AU Australian Unity Yield Mortgage Trust. AUS0AU Australian Unity Wholesale Mortgage Income Trust 0.88 JFF0002AU Balmain AQUA Income Trust.2

16 Credit (continued) Mortgages (continued) MMF000AU OnePath Mortgage Trust No 2.8 HML0002AU OnePath Monthly Income Trust (iii). PER0002AU Perpetual Monthly Income Fund (iii).0 PER00AU Perpetual Monthly Income Fund (W) (iii) 0.9 Fixed Interest Australian Fixed Interest FSF09AU Colonial Income Fund 0.0 MAQ00AU Macquarie Master Fixed Interest Fund /0. MAQ02AU Macquarie True Index Australian Fixed Interest 0.0/0.08 Global Fixed Interest PWA082AU BlackRock International Bond Fund /0.2 SBC089AU UBS International Bond Fund 0.9 Property Australian Property APN00AU APN Unlisted Property Fund.0 WFS00AU Australian Unity Diversified Property Fund. 0.0/0.0 2 Low CHF000AU Charter Hall Diversified Property Fund 0.8 MAQ0AU Charter Hall Direct Office Fund / MAQ08AU Charter Hall Direct Property Fund 0. /2.0 MAQ082AU Charter Hall Direct Office Fund (W) A 0.0 FSF000AU Colonial Property Securities Fund 0.82 MAQ0AU Macquarie Life Property Securities Fund 0.0 PFA000AU PFA Diversified Property Trust Diversified Property APN000AU APN Property for Income Fund (iii) 0.9 APN000AU APN Property for Income Fund No.2 (iii) 0.9 APN000AU APN Diversified Property Fund (iii).0 0.0/0.0 Australian Equities Income FSF000AU Colonial Wholesale Imputation Fund 0.9 Mid/Small/Micro Cap AAP000AU Ausbil Microcap Fund /0.0 HHA000AU Hunter Hall Australian Value Trust.8 PER020AU Pengana Emerging Companies Fund. 0.0/0.0 Large Cap MGL0AU Aberdeen Australian Equities Fund 0.80 HOW002AU Alphinity (W) Concentrated Australian Share Fund (ii) 0.0/0.0 AUS000AU Australian Unity (W) Platypus Australian Equities Fund (ii).0 PWA082AU BlackRock Australian Share Fund /0.28 BTA002AU BT Australian Share PST Fund (i) 0.9

17 Australian Equities (continued) Large Cap (continued) HOW009AU Challenger Alphinity Australian Equity Fund ETL000AU EQT SGH (W) Absolute Return Fund. 0./0. FSF009AU Lazard Select Australian Equity Fund (W).0 AJF080AU OnePath Wholesale Australian Share Trust 0./0. PER00AU Perpetual Industrial Share Fund.98 0./0. RIM0029AU Russell Australian Opportunities Fund (Class A).9 0./0. SCH0002AU Schroder Australia Equity Fund 0.2 Global Equities Large Cap NML08AU AMP Capital Global Equity Value Fund (W) RIM002AU Russell Global Opportunities (Class A) Fund. 0.8/0. RIM0008AU Russell International Shares Fund (Class A) /0. ZUR009AU Zurich s Managed Growth Fund /0.2 ZUR02AU Zurich (W) Super Global Thematic Share Fund /0.08 high Regional FID00AU Fidelity China Fund /0.0 Specialist FSF098AU Colonial Wholesale Global Resources Long Short Fund.22 0./0. MLC0AU MLC Platinum Global Fund.0 Infrastructure Global JBW000AU Goldman Sachs Australian Infrastructure (W) Fund 0.8 MAQ0AU Macquarie Global Infrastructure Trust II 2.0 Alternatives MAN0009CK Man s Series OM-IP (iii) MAN00CK Man s OM-IP 220 Ltd Series (iii) MAN00CK Man s OM-IP 220 Ltd Series 8 (iii) MAN002CK Man s Series 2 OM-IP Seven Limited (iii) MAN000CK Man s OM-IP Vision Ltd (iii) MAN00CK Man s OM-IP (iii) MAN00CK Man s OM-IP AHL Ltd (iii) 2.9 MAN00CK Man s OM-IP 2AHL Ltd (iii) MAN009CK Man s OM-IP Eclipse 200 (iii) MIN002AU Mercer Diversified Alternatives Fund (ii).8 / (i) (ii) (iii) This is a tax paid investment option and is only eligible to superannuation members. cost is exclusive of any performance fee, however this investment option may charge a performance fee. Please refer to the fund s PDS for information about how the performance fee is calculated. This investment is defined as an illiquid investment under superannuation law. This means it is unlikely that it can be redeemed and proceeds returned to the member/investor within 0 days and may take up to 20 days. For an explanation of illiquid investments please refer to Liquidity risk in the MyNorth Super and Pension PDS Part A or the MyNorth IDPS Guide.

18 Listed securities You are able to invest in securities listed on the ASX. All listed investment companies and listed property trusts are available for investment. If you are an Investor of MyNorth you can invest in any direct equity or unit trusts listed on the ASX. If you are a member of MyNorth Super and/or Pension you will be restricted to the following direct securities at the time of purchase: shares listed in the S&P/ASX00 index all LICs, LITs and A-REITs listed on the S&P/ASX all ordinaries index. all hybrids (ie convertible notes and preference shares), where the issuer is listed in the S&P/ASX00 index ETFs and ETCs are limited and must satisfy the Trustee s approval criteria. Refer to pages 8 and 9 for a list of trustee approved ETFs and ETCs as at the date this document was issued. fixed interest securities (ie corporate bonds and floating rate notes) subject to satisfying the Trustee s approval criteria. Refer to page 20 for a list of trustee approved fixed interest securities as at the date this document was issued. certain sub-classes of shares, initial public offerings (IPOs), share purchase plans (SPPs) and other securities in the S&P/ASX00 index that satisfy the Trustee s approval criteria. Securities listed in the S&P/ASX00 are subject to change, impacting the ability to invest in securities that no longer fall in the S&P/ASX00. When purchasing listed securities, additional costs will be incurred. These costs, which include brokerage fees, will be directly debited from your account. If using a third party broker, the cost per transaction varies between brokers and is subject to change. Please refer to the MyNorth Super and Pension PDS Part A or MyNorth IDPS Guide for further details. Listed securities are not currently available on accounts with a Guarantee. Exchange traded products The following exchange traded products are available to MyNorth Super and Pension members. ASX code Name Australian Broad Based IOZ ishares MSCI Australia 200 ILC ishares S&P/ASX 20 ISO ishares S&P/ASX Small Ordinaries MVW Market Vectors Australian Equal Weight ETF QOZ BetaShares FTSE RAFI Australia 200 ETF STW SPDR 200 Fund SFY SPDR 0 Fund SSO SPDR S&P/ASX Small Ordinaries Fund VAS Vanguard Australian Shares Index VSO Vanguard Small Companies Index YMAX BetaShares Australian Top 20 Equity Yield Maximiser Fund Australian Sector MVA Market Vectors Australian Property ETF MVB Market Vectors Australian Banks ETF SLF SPDR S&P/ASX 200 Listed Property Fund OZF SPDR S&P/ASX 200 Financials ex A-REITS Fund OZR SPDR S&P/ASX 200 Resources Fund VAP Vanguard Australian Property Securities Index ETF International IAA ishares Asia 0 ETF IBK ishares MSCI BRIC ETF ITW ishares MSCI Taiwan ETF IKO ishares MSCI South Korea Capped ETF IHK ishares MSCI Hong Kong ETF 8

19 ASX code Name International (continued) IRU ishares Russell 2000 ETF IZZ ishares China Large-Cap ETF IJP ishares MSCI Japan ETF IEM ishares MSCI Emerging Markets ETF IOO ishares Global 00 ETF IVV ishares Core S&P 00 IJH ishares Core S&P MidCap 00 IJR ishares Core S&P SmallCap 00 IVE ishares MSCI EAFE ETF IEU ishares Europe ETF ISG ishares MSCI Singapore ETF UMAX BetaShares S&P 00 Yield Maximiser Fund VEU Vanguard All-World EX US Shares Index VTS Vanguard US Total Market Shares Index WDIV S&P Global Dividend Fund WEMG S&P Emerging Markets Fund WXHG S&P World Ex Australian Hedged Fund WXOZ S&P World Ex Australian Fund International Sectors DJRE Dow Jones Global Real Estate Fund IXI ishares Global Consumer Staples ETF IXJ ishares Global Healthcare ETF IXP ishares Global Telecom ETF Strategy Focused IHD ishares S&P/ASX Dividend Opportunities ETF QUAL Market Vectors MSCI World ex-australia Quality ETF RDV Russell Dividend Australian Shares ETF RVL Russell Australia Value ETF SYI SPDR MSCI Australia Select Dividend Yield Fund VHY Vanguard Australian Shares Yield ETF Cash & Fixed Income Exposure AAA BetaShares Australian Interest Cash ETF BOND Australian Bond GOVT Australian Government Bond IAF ishares UBS Composite Bond ETF IGB ishares UBS Treasury ETF ILB ishares UBS Government Inflation Index Fund RCB Russell Australian Select Corporate Bond RSM Russell Australian Semi-Government Bond ETF VAF Vanguard Australian Fixed Interest Index VGB Vanguard Australian Government Bond Index ETF Commodity Exposure ETPMAG ETFS Physical Silver GOLD ETFS Physical Gold 9

20 Fixed interest securities The following securities are available to MyNorth Super and Pension members. You will be able to invest in other fixed interest securities that meet the Trustee s eligibility criteria, as notified by us to you. ASX code Issuer Floating Rate Notes AGKHA AMPHA ANZHA AQHHA BENHB CBAHA CNGHA CWNHA HBSHB MBLHB NABHA NABHB ORGHA TAHHB WBCHA WBCHB WOWHC AGL Energy Limited AMP Limited Australia and New Zealand Banking Group APT Pipelines Limited Bendigo and Adelaide Bank Limited Commonwealth Bank of Australia Colonial Holding Company Limited Crown Resorts Limited Heritage Bank Limited Macquarie Group Limited National Australia Bank Limited National Australia Bank Limited Origin Energy Limited TABCORP Holdings Limited Westpac Banking Corporation Westpac Banking Corporation Woolworths Limited 20

21 Standard Measure About the Standard Measure The Standard Measure (SRM) is a common risk descriptor used by superannuation funds. It is based on guidance from the Australian Prudential Regulation Authority (APRA) to allow investors to compare managed funds that are expected to deliver a similar number of negative annual returns over any 20-year period. We have introduced the SRM in accordance with the recommendations from the Financial Services Council (FSC) and Association of Superannuation Funds of Australia (ASFA). SRM descriptors Each managed fund listed in the MyNorth options document has been assigned a SRM. The table below sets out the SRM labels used for each managed fund based on the estimated number of negative annual returns that a managed fund may experience over any 20-year period. 2 Low Estimated number of negative annual returns over any 20 year period Less than to less than to less than 2 2 to less than to less than to less than orgreater For example, managed funds with a risk of have a medium to high risk label and may experience between to less than years of negative annual returns over any 20-year period. Limitations The SRM is not a complete assessment of all forms of investment risk and does not replace the need for financial advice when constructing a managed fund portfolio. For instance, it does not detail what the size of a negative return could be or the potential for a positive return to be less than an investor may require to meet their objectives. Further, it does not take into account the impact of administration fees and tax on the likelihood of a negative return. The SRM is not a comprehensive account of the risks of investing and investors should consider these risk labels in conjunction with the different risks of investing that apply to their investments. Investors should still ensure they are comfortable with the risks and potential losses associated with their chosen managed fund(s). Methodology The methodology used for calculating the SRM follows the FSC/ASFA recommendations and is in line with market adopted practices. For full details on the methodology, please visit northonline.com.au. You can also contact your financial adviser or the North Service Centre on for any queries on the methodology. Changes to the SRM For each managed fund, any significant changes to market conditions may alter the SRM from time to time. In addition, any changes to the methodology used (including any regulatory changes) may also alter the SRM results. We will generally review the SRM each year. Differences between each provider s SRM Investors should be aware that the SRM labels used for each managed fund are based on our assessment and may differ to those assigned by other providers. The differences are generally due to the methodology used in calculating the SRM. Other important information This is the investment options document for the MyNorth Super and Pension Fund ( the Fund, also known as MyNorth Super and MyNorth Pension or Wealth Personal Superannuation and Pension Fund ABN ) and should be considered together with the current MyNorth Super and Pension PDS Part A. This document is jointly issued by N.M. Superannuation Proprietary Limited (NM Super) ABN , AFS Licence No. 2, and NMMT Limited (NMMT) ABN , AFS Licence No. 2. This document also forms the options document for the Investor Directed Portfolio Service (IDPS) known as MyNorth. The Operator of the IDPS is NMMT. Please refer to the PDS for each underlying managed fund investment option for detailed information relating to the underlying managed fund investment options. PDSs for underlying managed fund investment options do not constitute an offer or invitation to subscribe to or buy any of the securities offered by the fund managers of investment options. In addition, the fund managers of those investment options have not authorised or caused the issue of this document. Unless expressly stated, the fund managers of those managed fund investment options, their respective officers, holding companies and trustees do not guarantee the capital invested by members of MyNorth Super, MyNorth Pension and MyNorth IDPS investors or the performance of the plans and investment options generally. The performance, the payment of any particular return or any increase in the value of the assets acquired using the investments listed in this document are not guaranteed in any way. This publication has been prepared to provide general information only and does not take into account the investment objectives, financial situation or particular needs of any particular person. It is not intended to take the place of professional advice and you should not take action on specific issues in reliance on this information. Before making an investment decision, you need to consider (with or without the assistance of an adviser) whether this information is appropriate to your needs, objectives and circumstances. You should obtain a copy of the relevant PDS or IDPS Guide before making a decision to invest in any financial product. 2

22 Past performance is not indicative of future performance. Detailed information about the MyNorth products is contained in the PDS and IDPS Guide. Applications for investment in MyNorth products will only be accepted via northonline.com.au. Copies of the PDS and IDPS Guide are available on northonline.com.au or can be obtained by calling (800 NORTH). NMMT Limited, N.M. Superannuation Proprietary Limited and their associates derive income from issuing interests in the product, full details of which are contained in the PDS and IDPS Guide. Unless specifically stated, the repayment of capital or performance of our products are not guaranteed. This information is provided for persons in Australia only and is not provided for the use of any person who is in any other country. Identifying investments The APIR codes used in this document identify the underlying investments that MyNorth will purchase on your instruction. The APIR code can assist you in obtaining the PDS for the underlying investment and comparing with other investment menus. Fund manager payments NMMT may receive payments of up to 0.% from fund managers for amounts invested in particular investment options made available in this document (fund manager payments). The fund manager payment received is based on amounts invested with the fund manager and the management costs of these investments. These payments, and the method of calculation, may change from time to time and are not an additional cost to you. costs The investment costs presented in this document are estimates only and include the management fee and expense recoveries, but exclude abnormal operating expenses and any performance fees that may be charged. Before selecting an investment option, you should refer to the latest investment costs set out in the relevant product disclosure statement for the particular fund. margin The buy/sell margin information provided in the investment options document is indicative only and may not reflect the most current buy/sell margin costs that may be incurred. We maintain the right to add or remove investment options. In the event that an investment option is removed we will endeavour to give you 0 days notice to switch to an alternative investment option. Please refer to the MyNorth Super and Pension PDS Part A or the MyNorth IDPS Guide and FSG for further information. Note: A current copy of this document is available free of charge on MyNorth's website northonline.com.au or by contacting the North Service Centre on (800 NORTH). Changes to your managed funds Fund managers of the managed fund investment options may notify us from time to time of material changes or significant events that affect an investment option you have selected. We will notify you of these changes as soon as practical through North Online. We will not be responsible for any delays in notifying you of these changes or events where the delay has been caused by a fund manager. If you wish, you may select a different investment option after you have read the up-to-date information; however, regular fees and charges may apply. If you do not notify us that you wish to select a different investment option contributions will continue to be invested in the existing investment option. Additional contributions After you become an investor, each time you make additional contributions to a managed fund investment option you may not have the most recent underlying fund manager PDS or have been notified about material changes or significant events relating to the investment options you have selected. You can access the most up-to-date PDS for the managed fund investment options you have selected by accessing North Online on northonline.com.au. Contact us If you would like to know more about how MyNorth can help you, please visit northonline.com.au, or contact one of the following: phone web mail northonline.com.au north@amp.com.au North Service Centre GPO Box 29 MELBOURNE VIC 00 What you need to know Operator of MyNorth : NMMT Limited ABN AFS Licence No. 2 Registered office: Alfred Street SYDNEY NSW 2000 Postal address: GPO Box 29 MELBOURNE VIC 00 Wealth Personal Superannuation and Pension Fund ABN Trustee of Wealth Personal Superannuation and Pension Fund: N.M. Superannuation Proprietary Limited ABN AFS Licence No / 22

Term deposits. NAB 2 months. NAB 3 months. NAB 6 months. St George Bank 1 month. St George Bank 2 months. St George Bank 3 months

Term deposits. NAB 2 months. NAB 3 months. NAB 6 months. St George Bank 1 month. St George Bank 2 months. St George Bank 3 months Investments Series 2* Investments *New accounts, or transfers of existing accounts into Series 2, after 3 March 2014. You can choose from: Term deposits Separately Managed Account (SMA), and Listed investments.

More information

IOOF MultiMix Conservative Trust* IOF0095AU 0.73. IOOF Multi Series Balanced Trust* IOF0090AU 0.55

IOOF MultiMix Conservative Trust* IOF0095AU 0.73. IOOF Multi Series Balanced Trust* IOF0090AU 0.55 AustChoice Super s 1 April 2015 s menu Listed below are the managed funds currently available under AustChoice Super. Use this list when completing the AustChoice Super Investment Authority and Switching

More information

North investment options

North investment options North investment options North offers a range of investment options featuring: Contents Discounted investment options 2 Guaranteed investment options Managed investment options open Managed investment

More information

/ / Contact telephone Contact mobile Fax

/ / Contact telephone Contact mobile Fax Investment Strategy Form Portfolio Service Please complete this form in BLOCK LETTERS using BLACK or BLUE pen only. Section 1 Investor Details Investor name(s) or Company/Trustee name if applicable New

More information

/ / Contact telephone Contact mobile Fax

/ / Contact telephone Contact mobile Fax Investment Strategy Form Superannuation and Pension Services Please complete this form in BLOCK LETTERS using BLACK or BLUE pen only. Section 1 Member Details New application Member number OR / Title Surname

More information

/ / Contact telephone Contact mobile Fax

/ / Contact telephone Contact mobile Fax Investment Strategy Form Investment Service Please complete this form in BLOCK LETTERS using BLACK or BLUE pen only. Section 1 Investor Details New application Account number OR D V N 6 / Investor name(s)

More information

AustChoice Super investment guide (ACH.01)

AustChoice Super investment guide (ACH.01) AustChoice Super investment guide (ACH.01) Issued: 31 October 2014 Contents What to consider when investing 2 What investment options can you choose? 3 Managing risk through diversification 4 Your investment

More information

Investment Funds Multiplier

Investment Funds Multiplier Investment s Multiplier Approved s Code Security Name Res AFI Aus Foundation Invest Comp Ltd AMP AMP Ltd 0 75 20 ANZ Australia and New Zealand Banking Group Ltd 0 75 20 ARG Argo Invests Ltd BEN Bendigo

More information

Wrap Service. Accessible managed funds menu. 1 December 2015 NETWEALTH WRAP SERVICE. Issuer/trustee details: netwealth Investments Limited

Wrap Service. Accessible managed funds menu. 1 December 2015 NETWEALTH WRAP SERVICE. Issuer/trustee details: netwealth Investments Limited NETWEALTH WRAP SERVICE Wrap Service Accessible managed funds menu 1 December 2015 Issuer/trustee details: netwealth Investments Limited Level 8/52 Collins Street MELBOURNE VIC 3000 ABN 85 090 569 109 AFSL

More information

Koda Capital Investment Account

Koda Capital Investment Account Koda Capital Investment Account Approved Products List 29 July 2015 The Koda Capital Investment Account Approved Products List ( Approved Products List ) is issued by Powerwrap Limited ABN 67 129 756 850,

More information

Term deposits. NAB 2 months. NAB 3 months. NAB 6 months. St George Bank 1 month. St George Bank 2 months. St George Bank 3 months

Term deposits. NAB 2 months. NAB 3 months. NAB 6 months. St George Bank 1 month. St George Bank 2 months. St George Bank 3 months MLC Wrap Super Series 2* MLC Wrap Super * New accounts, or transfers of existing accounts into Series 2, after 3 March 2014. You can choose from: Term deposits Separately Managed Account (SMA) Managed

More information

Transaction costs (buy/sell spreads)

Transaction costs (buy/sell spreads) Transaction costs (buy/sell spreads) spreads) Effective from September 2015 Transaction costs, including brokerage, stamp duty, settlement and other costs, are incurred by a fund when buying and selling

More information

ANZ Investment Lending ANZ Investment Lending Approved Managed Funds

ANZ Investment Lending ANZ Investment Lending Approved Managed Funds Approved Managed Funds ABERDEEN ASSET MANAGEMENT EQI0028AU ETL0032AU MGL0001AU CSA0131AU CRS0008AU EQI00AU CSA0130AU CSA0103AU CSA0029AU CRS0002AU CRS0005AU CRS0006AU CSA0114AU CRS0004AU CRS0001AU CRS0009AU

More information

Macquarie Super and Pension Manager. Macquarie Super Accumulator

Macquarie Super and Pension Manager. Macquarie Super Accumulator Macquarie Super and Pension Manager Macquarie Super Accumulator Macquarie Super and Pension Manager Macquarie Super Accumulator Annual report to investors Year ended 30 June 2008 Macquarie Superannuation

More information

AMP Personalised Portfolio

AMP Personalised Portfolio AMP Personalised Portfolio Investment Menu Update The following information is an update to the AMP Personalised Portfolio Product Disclosure Statement Part 2, issued 28 June 2013 (the PDS Part 2). This

More information

Transaction costs (buy/sell spreads)

Transaction costs (buy/sell spreads) Transaction costs (buy/sell spreads) EFFECTIVE FROM DECEMBER 2013 Transaction costs, including brokerage, stamp duty, settlement and other costs, are incurred by a fund when buying and selling fund assets.

More information

Transaction costs (buy/sell spreads)

Transaction costs (buy/sell spreads) Transaction costs (buy/sell spreads) EFFECTIVE FROM NOVEMBER 2014 Transaction costs, including brokerage, stamp duty, settlement and other costs, are incurred by a fund when buying and selling fund assets.

More information

Shares, ETFs and LICs

Shares, ETFs and LICs Living Super, s and s The investment category of ING DIRECT Living Super gives you the freedom and control to invest in shares in the S&P/ASX 200 index and a range of Exchange Traded Funds (s) and Listed

More information

Escala Investment Account Approved Products List

Escala Investment Account Approved Products List 5 June 2015 Escala Investment Account Approved Products List The Escala Approved Products List ( Approved Products List ) is issued by Powerwrap Limited ABN 67 129 756 850, AFSL 329829) a registered Managed

More information

OR / (Refer to the current Freedom of Choice Corporate Superannuation Product Disclosure Statement).

OR / (Refer to the current Freedom of Choice Corporate Superannuation Product Disclosure Statement). Investment Strategy Form Corporate Superannuation Please complete this form in BLOCK LETTERS using BLACK or BLUE pen only. Section 1 Member Details New application Member number OR / Title Surname Given

More information

FIRSTCHOICE INVESTMENT OPTIONS MENU

FIRSTCHOICE INVESTMENT OPTIONS MENU FIRSTCHOICE INVESTMENT OPTIONS MENU Investments Personal Super Pension Issue No 2015/1, dated 18 May 2015 Issued by: Colonial First State Investments Limited ABN 98 002 348 352 AFS Licence 232468 This

More information

ANZ Investment Lending ANZ Investment Lending Approved Managed Funds

ANZ Investment Lending ANZ Investment Lending Approved Managed Funds Approved Managed Funds ABERDEEN ASSET MANAGEMENT ETL32AU EQIAU MGL1AU CSA131AU CSA135AU CSA13AU CSA13AU EQI27AU CRS4AU CRS5AU CRS8AU CSA114AU CRS3AU CSA29AU CRS9AU CRS2AU CRS6AU CRS1AU EQI15AU ADVAU ADV25AU

More information

PERPETUAL WEALTHFOCUS

PERPETUAL WEALTHFOCUS PERPETUAL WEALTHFOCUS Investment Book INVESTMENT BOOK Dated 17 April 2015 Issued by Perpetual Investment Management Limited ABN 18 000 866 535 AFSL 234426 Perpetual Superannuation Limited ABN 84 008 416

More information

FirstChoice. Investment Options Menu. Investments Personal Super Pension

FirstChoice. Investment Options Menu. Investments Personal Super Pension FirstChoice Investment Options Menu Investments Personal Super Pension Issue No 2013/1, dated 11 June 2013 Issued by: Colonial First State Investments Limited ABN 98 002 348 352 AFS Licence 232468 This

More information

OneAnswer Frontier Personal Super and Pension. Fees Guide

OneAnswer Frontier Personal Super and Pension. Fees Guide OneAnswer Frontier Personal Super and Pension Fees Guide 1 July 2014 Entity details in this guide Name of legal entity Registered numbers Abbreviated terms used throughout the PDS OnePath MasterFund ABN

More information

INVESTMENT. OneAnswer Investment Portfolio. (only available to investors who joined prior to 1 July 2013) Product Disclosure Statement Product Book

INVESTMENT. OneAnswer Investment Portfolio. (only available to investors who joined prior to 1 July 2013) Product Disclosure Statement Product Book INVESTMENT OneAnswer Investment Portfolio (only available to investors who joined prior to 1 July 2013) Product Disclosure Statement Product Book 1 July 2014 OneAnswer Investment Portfolio Entity details

More information

Changes to the Product Disclosure Statement for:

Changes to the Product Disclosure Statement for: Changes to the Product Disclosure Statement for: FirstChoice Investments FirstChoice Personal Super FirstChoice Pension New Product Disclosure Statement: Issue No. 2013/1, dated 11 June 2013 Old Product

More information

Accepted Managed Funds for Investment Loans as at 1 February 2016

Accepted Managed Funds for Investment Loans as at 1 February 2016 CommSec Adviser Services Commonwealth Bank of Australia ABN 48 123 123 124 Locked Bag 34 Australia Square NSW 1214 Phone: 1800 252 351 Fax: (02) 9280 7030 Internet: www.commsecadviserservices.com.au Accepted

More information

Investing and your options

Investing and your options Issued 17 December ₂₀₁₅ Investing and your options AMP Flexible Super Fact sheet Registered trademark of AMP Limited ABN 49 79 354 519 This document is a fact sheet for AMP Flexible Super. The AMP Flexible

More information

INVESTMENT OneAnswer Frontier Investment Portfolio

INVESTMENT OneAnswer Frontier Investment Portfolio INVESTMENT OneAnswer Frontier Investment Portfolio Product Disclosure Statement Product Book 1 July 2014 OneAnswer Frontier Investment Portfolio Entity details in this Product Disclosure Statement (PDS)

More information

For Adviser use only. Voyage product and services guide

For Adviser use only. Voyage product and services guide For Adviser use only Voyage product and services guide 2 Contents Voyage your leading platform solution 4 Voyage at a glance 5 Ensuring good corporate governance 6 Comprehensive investment choice 7 Voyage

More information

Investment Menu Retail Managed Accounts

Investment Menu Retail Managed Accounts Investment Menu Retail Managed Accounts IMPORTANT INFORMATION This Investment Menu is issued by Linear Asset Management Ltd (ABN 11 119 757 596, AFSL 304542) ( Responsible Entity we, our or us ), the responsible

More information

WealthFocus Investment Advantage

WealthFocus Investment Advantage Perpetual WealthFocus Investment Advantage Features Book Product Disclosure Statement Part 1 Issue number 4 dated 21 June 2013 Issued by Perpetual Investment Management Limited ABN 18 000 866 535 AFSL

More information

FirstChoice Employer Super

FirstChoice Employer Super FirstChoice Employer Super Investment Options Menu Issue No 2014/1, dated 19 May 2014 Issued by: Colonial First State Investments Limited ABN 98 002 348 352 AFS Licence 232468 MySuper Authorisation Identifier

More information

North. Super and Pension Guarantee. Product Disclosure Statement Part B. Issue number 11, 30 March 2015

North. Super and Pension Guarantee. Product Disclosure Statement Part B. Issue number 11, 30 March 2015 Issue number 11, 30 March 2015 North Super and Pension Guarantee Product Disclosure Statement Part B North Personal Superannuation and Personal Pension North Guarantee To be read in conjunction with North

More information

FirstChoice Personal Super Product Disclosure Statement

FirstChoice Personal Super Product Disclosure Statement FirstChoice Personal Super Product Disclosure Statement This is a combined Financial Services Guide and Product Disclosure Statement Issue No 2012/1, dated 28 May 2012 Colonial First State FirstChoice

More information

Sterling Investment Bond. Investment funds guide

Sterling Investment Bond. Investment funds guide Sterling Investment Bond Investment funds guide Contents Introduction 3 List of current investment funds by sector 4 Investment choice and flexibility 10 Fund risks 11 Managed funds 12 Multi-Managed funds

More information

Australian ETF Report

Australian ETF Report Australian Report 2015 www.stockspot.com.au invest@stockspot.com.au 1 2 Australian Report - 2015 Contents About this report 4 What are s 6 Types of 8 market summary 10 key stats 10 by sector 12 by issuer

More information

Symetry Personal Retirement Fund

Symetry Personal Retirement Fund Issued by: Avanteos Investments Limited (AIL) ABN 20 096 259 979, AFSL 245531 as trustee for the Symetry Personal Retirement Fund ABN 24 685 968 122, RSE L0002691, Registration R1056600 Unique Superannuation

More information

Macquarie SuperOptions Investment switching form

Macquarie SuperOptions Investment switching form Use this form to switch your investment options. Macquarie SuperOptions Investment switching form Macquarie Investment Management Limited ABN 66 002 867 003 AFSL 237 492 RSEL L0001281 Macquarie Superannuation

More information

sgard Managed Profiles and Separately Managed Accounts Funds Super/Pension Product Disclosure Statement (PDS) Part 2 Investment Selection

sgard Managed Profiles and Separately Managed Accounts Funds Super/Pension Product Disclosure Statement (PDS) Part 2 Investment Selection sgard Managed Profiles and Separately Managed Accounts Funds Super/Pension Product Disclosure Statement (PDS) Part 2 Selection Issue date: 15 February 2016 The PDS for Asgard Managed Profiles and Separately

More information

MERCER PORTFOLIO SERVICE MONTHLY REPORT

MERCER PORTFOLIO SERVICE MONTHLY REPORT MERCER PORTFOLIO SERVICE MONTHLY REPORT MAY 206 Mercer Superannuation (Australia) Limited ABN 79 004 77 533 Australian Financial Services Licence # 235906 is the trustee of the Mercer Portfolio Service

More information

Flexible Lifetime Super

Flexible Lifetime Super Issued ₁ July ₂₀₁₅ Flexible Lifetime Super Investment options fact sheet Registered trademark of AMP Life Limited ABN 84 79 3 379. This document is a fact sheet for the product disclosure statement (PDS)

More information

blueprint Retirement Plan Annual Report 2009/2010

blueprint Retirement Plan Annual Report 2009/2010 blueprint Retirement Plan Annual Report 2009/2010 Preparation Date: 1 November 2010 You should read this Annual Report with your Annual Member Benefit Statement. blueprint Retirement Plan ( the Service

More information

Your investment options explained for the Plum Superannuation Fund

Your investment options explained for the Plum Superannuation Fund Your investment options explained for the Plum Superannuation Fund Trustee: PFS Nominees Pty Ltd ABN 16 082 026 480 AFSL 243357 Fund: Plum Superannuation Fund ABN 20 339 905 340 Administrator: Plum Financial

More information

Sterling Investment Bond. Investment funds guide

Sterling Investment Bond. Investment funds guide Sterling Investment Bond Investment funds guide Contents Introduction 3 List of current investment funds by sector 4 Investment choice and flexibility 10 Fund risks 11 Managed funds 12 Multi-Managed funds

More information

Summit Personal Super and Personal Pension

Summit Personal Super and Personal Pension Summit Personal Super and Personal Pension Product Disclosure Statement Issue Number 10, 6 January 2014 Registered trademark of NMMT Limited ABN 42 058 835 573 Summit Personal Super and Personal Pension

More information

Asgard ewrap Super/Pension List of available investment options

Asgard ewrap Super/Pension List of available investment options Asgard ewrap Super/Pension List of available investment options Issue date: 7 September 05 This List of Available Options (this List) has been prepared by the Trustee of Asgard ewrap Super/Pension, BT

More information

Asgard Infinity ewrap Super/Pension List of Available Investment Options

Asgard Infinity ewrap Super/Pension List of Available Investment Options Asgard Infinity ewrap Super/Pension List of Available Investment Options Issue date: 7 September 2015 This List of Available Investment Options (this List) has been prepared by the Trustee of Asgard Infinity

More information

Suncorp WealthSmart Super withdrawal form

Suncorp WealthSmart Super withdrawal form Suncorp WealthSmart Super withdrawal form Issued 2 November 2015 Suncorp Portfolio Services Limited (Trustee) ABN 61 063 427 958 AFSL 237905 RSE L0002059 USI RSA0003AU (Business) RSA0004AU (Personal) Please

More information

Wealth Solutions Bond Fund Menu

Wealth Solutions Bond Fund Menu Wealth Solutions Bond Menu Choosing the right funds 3 The importance of diversification 3 Investing for income or growth 3 Investing with Friends Life 4 distribution funds 7 Charges and fund risks 8 risk

More information

Legal & General Portfolio Bond Funds available through Cofunds

Legal & General Portfolio Bond Funds available through Cofunds L&G Life Aberdeen Asia Pacific & Japan Fund L&G Life Aberdeen Asia Pacific Fund L&G Life Aberdeen Emerging Markets Fund L&G Life Aberdeen Multi-Manager Balanced Managed Fund L&G Life Aberdeen Multi-Manager

More information

Zurich Investments Equity Income Fund

Zurich Investments Equity Income Fund Zurich Investments Equity Income Fund APIR ZUR0538AU Product Disclosure Statement (PDS) Issue date 1 July 2015 Strategic investment partner: Denning Pryce Pty Ltd 1. About Zurich Investments Zurich Investment

More information

Managed Investments Star Ratings 2013 - page 1

Managed Investments Star Ratings 2013 - page 1 Seasoned Investor - Multi-Sector Balanced Multisector Balanced funds are based on a growth asset allocation between 21-60 MER / ICR Colonial First State - FC WS Inv - Diversified Fund 3 FSF0472AU 0.65

More information

Your investment options

Your investment options The information in this document forms part of the Australian Catholic Superannuation and Retirement Fund Superannuation Plan Product Disclosure Statement dated 1 January 2016. If you would like a hard

More information

Dimensional vs. ETF After-Tax Comparison

Dimensional vs. ETF After-Tax Comparison Dimensional vs. ETF After-Tax Comparison Data as of March 31, 2014 This information is provided for institutional investors and registered investment advisors, and is not intended for public use. Dimensional

More information

STATE SUPER INVESTMENT FUND CLASS A

STATE SUPER INVESTMENT FUND CLASS A STATE SUPER INVESTMENT FUND CLASS A Product Disclosure Statement Date of Issue 1 July 2014 State Super Financial Services Australia Limited ABN 86 003 742 756 Australian Financial Services Licence No.

More information

BT Investment Funds. Second Supplementary Product Disclosure Statement

BT Investment Funds. Second Supplementary Product Disclosure Statement BT Investment Funds Second Supplementary Product Disclosure Statement Dated: 1 July 2014 This is a Second Supplementary Product Disclosure Statement ( Second SPDS ) to the BT Investment Funds Product Disclosure

More information

Your life your fund REI Super Investment Guide

Your life your fund REI Super Investment Guide Your life your fund REI Super Investment Guide 1 July 2016 CONTENTS 1. Choosing an investment that s right for you: Balancing risk and return > Your risk profile > Where your super s invested 2. Introducing

More information

Optimum. Corporate Super, Corporate Super for Standard Pacific, Professional and Personal Super

Optimum. Corporate Super, Corporate Super for Standard Pacific, Professional and Personal Super Optimum Corporate Super, Corporate Super for Standard Pacific, Professional and Personal Super Annual Report for the year ended Important information Suncorp Portfolio Services Limited (Trustee) (ABN 61

More information

INVESTMENT SERVICES - PRODUCTS OFFERED - July 2012*

INVESTMENT SERVICES - PRODUCTS OFFERED - July 2012* Mutual Funds We make available to you a choice of over 270 mutual funds offered by more than 15 fund managers. Our endeavour is to provide you suitable investment solutions through wide range of investment

More information

Financial Services Guide (FSG)

Financial Services Guide (FSG) Financial Services Guide (FSG) Version: Version 19 Issue date: 22 October 2015 Important information We recommend you read this Financial Services Guide (FSG) because it contains important information

More information

Global Investment Centre Fund List

Global Investment Centre Fund List Global Investment Centre Fund List The share classes available on Global Investment Centre are either legacy or clean share classes. Clean share classes will replace legacy share classes on the Global

More information

For personal use only

For personal use only 21 August 2014 Manager ASX Market Announcements Australian Securities Exchange Level 4, 20 Bridge Street Sydney NSW 2000 Client and Market Services Team NZX Limited Level 1, NZX Centre, 11 Cable Street

More information

Half Year Financial Results

Half Year Financial Results 16 August 2012 Manager ASX Market Announcements Australian Securities Exchange Level 4, 20 Bridge Street Sydney NSW 2000 Manager Market Information Services Section New Zealand Stock Exchange Level 24,

More information

This document is a Fact Sheet for the Product Disclosure Statement dated 22 May 2010 for Flexible Lifetime - Super and Allocated Pension ( PDS ).

This document is a Fact Sheet for the Product Disclosure Statement dated 22 May 2010 for Flexible Lifetime - Super and Allocated Pension ( PDS ). Fact sheet 4 Fees and other costs This document is a Fact Sheet for the Product Disclosure Statement dated 22 May 2010 for Flexible Lifetime - Super and Allocated Pension ( PDS ). CONTENTS PAGE Taxation

More information

Distribution components for non-residents and intermediaries for 30 June 2015 For the income year ended 30 June 2015

Distribution components for non-residents and intermediaries for 30 June 2015 For the income year ended 30 June 2015 This notice is issued for the purposes of Subdivision 12-H of the Taxation Administration Act 1953 in relation to payments made by Managed Investment Trusts to unit holders and intermediaries. Under section

More information

Magellan Global Fund. Product Disclosure Statement 7 July 2016. Contents. Contact Details ARSN 126 366 961 APIR MGE0001AU

Magellan Global Fund. Product Disclosure Statement 7 July 2016. Contents. Contact Details ARSN 126 366 961 APIR MGE0001AU Magellan Global Fund ARSN 126 366 961 APIR MGE0001AU Product Disclosure Statement 7 July 2016 Issued by Magellan Asset Management Limited ABN 31 120 593 946, AFS Licence No. 304 301 Contents 1. About Magellan

More information

BT Balanced Equity Income Fund

BT Balanced Equity Income Fund BT Balanced Equity Income Fund Product Disclosure Statement (PDS) Issued 26 September 2012 Contents 1 About BT Investment Management (RE) Limited 2 How the BT Balanced Equity Income Fund works 3 Benefits

More information

MLC MasterKey Unit Trust Product Disclosure Statement (PDS)

MLC MasterKey Unit Trust Product Disclosure Statement (PDS) MLC MasterKey Unit Trust Product Disclosure Statement (PDS) Preparation date 1 July 2014 Issued by MLC Investments Limited (MLC) ABN 30 002 641 661 AFSL 230705 This information is general and doesn t take

More information

INVESTMENT OPTIONS SEPTEMBER 2015

INVESTMENT OPTIONS SEPTEMBER 2015 INVESTMENT OPTIONS SEPTEMBER 2015 1. INVESTMENT OPTIONS SuperLife has a range of investment options. There are managed investment options that target a particular risk/return outcome, Sector Funds that

More information

Legal & General All Stocks Gilt Index Fund LS5 UK Gilts 0.12% 0.04% 0.16% 0.08%

Legal & General All Stocks Gilt Index Fund LS5 UK Gilts 0.12% 0.04% 0.16% 0.08% SELECT PORTFOLIO bond (WEALTH MANAGERS) FUND DETAILS This document shows the fund charges, Association of British Insurers (ABI) sectors and valuation spreads for the funds available on our Select Portfolio

More information

MLC Horizon 5. The growth portfolio. MLC Investments. MLC Horizon. MLC Horizon. MLC Horizon. MLC Horizon. MLC Horizon

MLC Horizon 5. The growth portfolio. MLC Investments. MLC Horizon. MLC Horizon. MLC Horizon. MLC Horizon. MLC Horizon MLC Investments 5 The growth portfolio 85% Growth assets 1 shares, private markets, property securities, long-term absolute return strategy 15% Debt securities 1 nominal bonds, inflation linked securities,

More information

Helping you save for tomorrow

Helping you save for tomorrow North Investment Investor Directed Portfolio Service Guide and Financial Services Guide Helping you save for tomorrow Issue Number 7, 1 July 2014 To be read in conjunction with North Investment Guarantee

More information

Michigan State University Mapping Schedule

Michigan State University Mapping Schedule Michigan State University Mapping Schedule (This page left blank intentionally) Table of Contents 1 AXA Equitable 4 Fidelity 10 Lord Abbett 13 TIAA-CREF 15 VALIC 18 Vanguard (This page left blank intentionally)

More information

BT Personal Portfolio Service. Superannuation and Pension

BT Personal Portfolio Service. Superannuation and Pension BT Personal Portfolio Service Superannuation and Pension Annual Report for the year ended 30 June 2015 Contents Recent developments in Superannuation 1 Understanding your investment 4 Understanding the

More information

Financial Services and Credit Guide

Financial Services and Credit Guide Financial Services and Credit Guide Why this guide is important to you This Guide explains the services we provide, as well as giving you important information that will help you decide if you want to

More information

RETIREMENT ACCOUNT SCOTTISH WIDOWS PENSION FUND CHARGES

RETIREMENT ACCOUNT SCOTTISH WIDOWS PENSION FUND CHARGES RETIREMENT ACCOUNT SCOTTISH WIDOWS PENSION FUND CHARGES SCOTTISH WIDOWS RETIREMENT ACCOUNT THE SCOTTISH WIDOWS RETIREMENT ACCOUNT COMBINES RETIREMENT PLANNING WITH RETIREMENT INCOME, ALLOWING YOU TO CONSOLIDATE

More information

T. Rowe Price Wholesale Plus Global Equity Fund

T. Rowe Price Wholesale Plus Global Equity Fund T. Rowe Price Wholesale Plus Global Equity Fund Product Disclosure Statement ( PDS ) Issued 10 August 2015 ARSN 602 109 357 APIR BTA0538AU Contents 1. About BT Funds Management Limited 2 2. How the Fund

More information

Super and Pension Manager Further Information Booklet

Super and Pension Manager Further Information Booklet Super and Pension Manager Further Information Booklet Macquarie Wrap Document number MAQSP01.9 The information contained in this Further Information Booklet (FIB) is incorporated by reference into the

More information

Individual Savings Account and Investment Account. Sterling panel funds guide

Individual Savings Account and Investment Account. Sterling panel funds guide Individual Savings Account and Investment Account Sterling panel funds guide Contents Introduction 3 List of current investment funds by sector 4 Investment choice and flexibility 7 Fund risks 8 Managed

More information

Opportunities. Contents. 1 About Principal Global Investors. 2 How the Principal Global Credit June 2012. 3 Benefits of Investing in the Principal

Opportunities. Contents. 1 About Principal Global Investors. 2 How the Principal Global Credit June 2012. 3 Benefits of Investing in the Principal RESEARCH RESOURCES Product Disclosure Statement RESULTS Principal Global Credit Opportunities Fund Contents 1 About Principal Global Investors (Australia) Limited 2 How the Principal Global Credit June

More information

Monthly Investment Performance

Monthly Investment Performance Monthly Investment Performance as at 30 June 2016 Contents Product Page Information about your investment performance 2 Investment Linked Ordinary Plans 3 AMP Investment Linked Plan (ULA and ULJ) AMP Investment

More information

MLC Investment Trust Product Guide

MLC Investment Trust Product Guide MLC Investment Trust Product Guide Preparation date 1 July 2014 Issued by The Trustee, MLC Investments Limited ABN 30 002 641 661 AFSL 230705 The purpose of this guide is to give you the information you

More information

Invesco Wholesale Diversified Growth Fund - Class R. Contents. Product Disclosure Statement. Issued 1 September 2015. 1. About Invesco Australia 2

Invesco Wholesale Diversified Growth Fund - Class R. Contents. Product Disclosure Statement. Issued 1 September 2015. 1. About Invesco Australia 2 Invesco Wholesale Diversified Growth Fund - Class R Product Disclosure Statement Issued 1 September 2015 ARSN 089 540 367 Contents APIR GTU0097AU 1. About Invesco Australia 2 2. How the Invesco Wholesale

More information

Financial Services Guide

Financial Services Guide Financial Services Guide Version 19.0 Issue date: 22 October 2015 Important information We recommend you read this Financial Services Guide (FSG) because it contains important information designed to help

More information

TABELLA DELLE VARIAZIONI DI PORTAFOGLIO I 20 MAGGIORI ACQUISTI E VENDITE PER COMPARTO (NON SOTTOPOSTI A REVISIONE CONTABILE) (valori espressi in EUR)

TABELLA DELLE VARIAZIONI DI PORTAFOGLIO I 20 MAGGIORI ACQUISTI E VENDITE PER COMPARTO (NON SOTTOPOSTI A REVISIONE CONTABILE) (valori espressi in EUR) US COLLECTION 03-ott-14 Health Care Select Sector SPDR Fund 4.986.027 27-mar-14 Legg Mason Global Funds PLC - ClearBridge U.S. Aggressive Growth Fund 4.831.202 27-mar-14 Legg Mason Global Funds PLC - Royce

More information

Your premium investment solution. Investment Service. Investor Guide (incorporating Financial Services Guide)

Your premium investment solution. Investment Service. Investor Guide (incorporating Financial Services Guide) Your premium investment solution Investment Service Investor Guide (incorporating Financial Services Guide) 1 July 2014 Contents Section Page Important information 3 About OnePath 4 What is PortfolioOne?

More information

BT Wholesale Ethical Share Fund

BT Wholesale Ethical Share Fund BT Wholesale Ethical Share Fund Product Disclosure Statement (PDS) Issued 22 June 2011 Contents 1 About BT Investment Management (RE) Limited 2 How the BT Wholesale Ethical Share Fund works 3 Benefits

More information

Product disclosure statement. Capital Group Global Equity Fund Hedged (AU) Contents. thecapitalgroup.com.au

Product disclosure statement. Capital Group Global Equity Fund Hedged (AU) Contents. thecapitalgroup.com.au ARSN 094 966 631 APIR WHT0043AU Information in this PDS is a summary of significant information and is general in nature. It contains references to other important information which forms part of the PDS

More information

BHP Billiton Superannuation Fund

BHP Billiton Superannuation Fund BHP Billiton Superannuation Fund Investment Menu Preparation date 11 May 2016 Issued by the Trustee PFS Nominees Pty Limited (Plum) ABN 16 082 026 480 AFSL 243357 The Fund BHP Billiton Superannuation Fund

More information

Investment booklet. Issued 1 October 2014

Investment booklet. Issued 1 October 2014 Investment booklet Issued 1 October 2014 The information in this document forms part of the Product Disclosure Statement for Club Plus Super Industry and Personal Division dated 1 October 2014. A Member

More information

NEW CENTURY CAPITAL PORTFOLIO SCHEDULE OF INVESTMENTS January 31, 2014 (Unaudited)

NEW CENTURY CAPITAL PORTFOLIO SCHEDULE OF INVESTMENTS January 31, 2014 (Unaudited) NEW CENTURY CAPITAL PORTFOLIO SCHEDULE OF INVESTMENTS January 31, 2014 (Unaudited) INVESTMENT COMPANIES - 99.2% Shares Value Large-Cap Funds - 62.3% American Funds AMCAP Fund - Class A 150,931 $ 4,070,619

More information

financial services guide ipac financial planning

financial services guide ipac financial planning financial services guide ipac financial planning The financial services guide (FSG) helps you to understand who ipac securities limited (ipac) ABN 30 008 587 595 Australian Financial Services Licence No.

More information

This guide contains important information about your NSF Super investment options.

This guide contains important information about your NSF Super investment options. Investment guide Personal Division This guide contains important information about your NSF Super investment options. You should read it to help you make an informed investment choice. Contents 1. Investment

More information

ETF providers panel: A discussion of advisor experiences

ETF providers panel: A discussion of advisor experiences In association with ETF providers panel: A discussion of advisor experiences Moderator: Jonathan Morgan, ASX Panelists: Mark Oliver, BlackRock Amanda Skelly, SSgA Peter Harper, Betashares Paul Chin, Vanguard

More information

Investment options and risk

Investment options and risk Investment options and risk Issued 1 November 2013 The information in this document forms part of the Product Disclosure Statement for the Public Sector Superannuation Scheme (PSS), seventh edition, issued

More information

BT Investment Funds. Product Disclosure Statement. Dated 1 July 2013

BT Investment Funds. Product Disclosure Statement. Dated 1 July 2013 BT Investment Funds Product Disclosure Statement Dated 1 July 2013 We recommend that you read this Product Disclosure Statement (PDS) in full before making an investment decision. If you have not received

More information

part BT Business Super Part 1 Information booklet This Product Disclosure Statement (PDS) has 2 parts: Information to get you started

part BT Business Super Part 1 Information booklet This Product Disclosure Statement (PDS) has 2 parts: Information to get you started BT Business Super Part 1 Information booklet This Product Disclosure Statement (PDS) has 2 parts: Part 1 Information booklet Information to get you started Part 2 Insurance booklet Everything you need

More information

Investing Report. Comparing 10, 20 and 25 year performance of various investments to December 2010 FULL REPORT / JUNE 2011

Investing Report. Comparing 10, 20 and 25 year performance of various investments to December 2010 FULL REPORT / JUNE 2011 Long-Term Investing Report Comparing 10, 20 and 25 year performance of various investments to December 2010 FULL REPORT / JUNE 2011 A research study issued by the ASX and Russell Investments About Us As

More information