AMP Personalised Portfolio

Size: px
Start display at page:

Download "AMP Personalised Portfolio"

Transcription

1 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 document is intended to provide updates on the investment options available through the Service since the original issue of the PDS Part 2. The updates include but not limited to: Investment options that have become available for investment through the Service, important changes to the investment option or information contained in the underlying PDS (managed funds only), which subsequently impacts our PDS Part 2, or investment options been removed from the list of available investment options Full details of the investment objective and strategy, risks, fees and other important information are set out in AMP Personalised Portfolio PDS Part 2 otherwise please refer to the underlying product disclosure statement for each managed fund. Fees and costs For each managed fund, the management fee and costs (% pa) are calculated on the net asset value of the fund. However a (ii) indicates that they are calculated on the gross asset value. Unless stated otherwise, fees are shown inclusive of GST and, where applicable, less reduced input tax credits. fee and costs are exclusive of any performance fee; however a (i) indicates this investment option may charge a performance fee. fee and costs are exclusive of any expense recovery; however a (iii) indicates the management cost of the particular investment option is inclusive of expense recovery. Please refer to the relevant fund s PDS for information about how the performance fee is calculated. Important note This document may contain advice. Any advice is of a general nature and is not based on your personal objectives, your financial situation or your needs. Accordingly, you should consider how appropriate any advice is to your personal objectives, financial situation and needs. Before acquiring any AMP financial product, you should read the current product disclosure statement, which is available from your financial planner or from AMP. Any advice in this document is provided by NMMT,, AFSL No which is part of the AMP group of companies. AMP companies receive fees and charges in relation to their products, as set out in the product documentation. AMP employees and directors receive salaries, bonuses and other benefits from the AMP group.

2 New Model Portfolios OPTION NAME STYLE AVERAGE NUMBER OF SECURITIES FEE AND COSTS (PA) PERFORMANCE FEE (PA) AUSTRALIAN SHARES Australian Equity 3D Model Portfolio (formerly the AMP Capital High Conviction Equity Model Portfolio) Investors Style Neutral 10 to % Performance fee of 22% of any outperformance of the benchmark S&P/ASX 200 Accumulation Index Australian Equity Dividend Model Portfolio (formerly the AMP Index Top 20 Industrials Model Portfolio) Investors Income 10 to % Performance fee of 16.5% of any outperformance of the benchmark S&P/ASX 200 Accumulation Index Australian Equity Growth Model Portfolio (formerly the AMP Index Top 20 Resources Model Portfolio) Investors Growth 10 to % Performance fee of 16.5% of any outperformance of the benchmark S&P/ASX 200 Accumulation Index New Managed Funds APIR CODE OPTION NAME FEE AND COSTS (PA) AUSTRALIAN SHARES BFL0004AU BNT0003AU HOW0016AU WHT0039AU Bennelong ex-20 Australian Equities Fund (i) Hyperion Australian Growth Companies Fund NovaPort Wholesale Smaller Companies Fund (i) Plato Australian Shares Income Fund Bennelong Australian Equity Partners Pty Ltd Hyperion Asset NovaPort Capital Pty Ltd Plato Investment 0.95% S&P/ASX 300 excluding stocks comprised in the S&P/ASX 20 Leaders Index. 0.95% S&P/ASX % S&P/ASX Small Ordinaries 0.90% S&P/ASX 200 Index (including franking credits) AMP0681AU Specialist Australian Share Fund (i)(iii) Investors 0.82% S&P/ASX300 NMMT

3 APIR CODE OPTION NAME FEE AND COSTS (PA) AMP0973AU AMP0969AU Specialist Australian Small Companies Fund (i)(iii) Specialist Geared Australian Share Fund (i)(iii) Investors Investors % S&P/ASX Small Ordinaries 1.15% S&P/ASX 200 INTERNATIONAL SHARES MAL0133AU HFL0032AU BlackRock Wholesale Global Small Cap Fund Class D Threadneedle Global Equity Income Fund (Unhedged) BlackRock Investment (Australia) Threadneedle Asset 1.25% S&P Global MidSmall Cap Index 1.15% MSCI All Country World Index AUD (unhedged) (MSCI ACWI) AMP0825AU Specialist International (Hedged) Share Fund (i)(iii) Investors % Morgan Stanley Capital International (MSCI) World (ex-australia) hedged in AUD. AMP0824AU Specialist International Share Fund (i)(iii) Investors % Morgan Stanley Capital International (MSCI) World (ex-australia) PROPERTY NML0001AU Wholesale Australian Property Fund National Mutual Funds 0.81% S&P/ASX 200 Property MAQ0844AU Charter Hall Direct Industrial Fund No. 3 (Wholesale) Charter Hall Holdings Pty 0.70% CRM0008AU Cromwell Phoenix Property Securities Fund Phoenix Portfolios Pty Ltd 0.97% S&P/ASX 300 A-REIT AMP1990AU Specialist Property & Infrastructure Fund (i) Investors 1.15% 25% S&P/ASX200 A-REIT Accumulation Index 35% FTSE EPRA NAREIT Developed Net Total Return Index (AUD) 30% Dow Jones Brookfield Global Infrastructure Net Accumulation Index (AUD) 10% Mercer / IPD Australian Pooled Property Fund Index ALTERNATIVE ASSETS NMMT

4 APIR CODE OPTION NAME FEE AND COSTS (PA) AFM0005AU Aurora Fortitude Absolute Return Fund (i) Fortitude Capital Pty Ltd % RBA Cash Rate AMP1595AU Global Infrastructure Securities Fund (Hedged) Investors 0.85% Dow Jones Brookfield Global Infrastructure Index Australian Dollar Hedged AMP1593AU Global Infrastructure Securities Fund (Unhedged) Investors 0.85% Dow Jones Brookfield Global Infrastructure Index Australian Dollar Hedged ETL0276AU Partners Group Global Value Fund (AUD) - Wholesale Partners Group (Guernsey) 1.75% MSCI World ex Australia Hedged $A AMP1932AU Dynamic Markets (i)(iii) Investors 0.50% RBA Inflation rate AUSTRALIAN FIXED INTEREST AMP0981AU Wholesale Australian Bond Fund Investors 0.36% Bloomberg Composite Bond (All Maturities) Index. HOW0056AU Guaranteed Income Fund 4.46% pa (Maturity 30/06/2017) MLT0001AU Guaranteed Income Fund 4.30% pa (Maturity 30/09/2017) MLT0002AU Guaranteed Income Fund 4.50% pa (Maturity 30/06/2016) MLT0005AU Guaranteed Income Fund 4.55% pa (Maturity 30/09/2017) MLT0006AU Guaranteed Income Fund 4.85% pa (Maturity 30/09/2018) MLT0007AU Guaranteed Income Fund 5.15 % pa (Maturity 31/03/2020) NMMT

5 APIR CODE OPTION NAME FEE AND COSTS (PA) INTERNATIONAL FIXED INTEREST FRT0011AU HOW0052AU AMP1992AU Franklin Templeton Multisector Bond Fund Kapstream Wholesale Absolute Return Income Fund Specialist Diversified Fixed Income Fund (i)(iii) Franklin Templeton Investments Australia Kapstream Capital Pty Investors 0.93% Barclays Global Multiverse Index (Hedged in AUD). 0.70% 50% Bloomberg Composite Bond Index 0-3 years 50% Bloomberg Bank Bill Index 0.80% 60% Bloomberg Composite Bond All Maturities Index; 30% Barclays Capital Aggregate Index (Hedged); and 10% Barclays Capital Aggregate Corporate Index (Hedged). JBW0097AU Goldman Sachs Global Strategic Bond Fund Goldman Sachs Asset & Partners Australia Pty 0.80% Bloomberg AusBond Bank Bill Index MULTI ASSET CLASS IPA0076AU ipac Income Generator ipac portfolio management limited 0.79% Changes to model portfolios OPTION NAME FEE AND COSTS (PA) PERFORMANCE FEE (PA) CHANGES AUSTRALIAN SHARES Tyndall Australian Share Value Perennial Value Australian Share Tyndall Investment Perennial Value 0.62% S&P/ASX % S&P/ASX 300 Change of fund name from Tyndall Australian Share Value to Nikko AM- Tyndall Australian Share Value Reduction in management fee from 0.75% pa to 0.65% pa and change of performance fee from to 15% of performance above the S&P/ASX 300 accumulation index NMMT

6 Changes to managed funds APIR CODE OPTION NAME FEE AND COSTS (PA) CHANGES INTERNATIONAL SHARES PMC0100AU PM Capital Absolute Performance Fund (i) MAPP Pty 1.09% MSCI World Net Index (with net dividends reinvested) Change of fund name from PM Capital Absolute Performance Fund to PM Capital Global Companies Fund MGL0010AU RREEF Global (ex- Australia) Property Securities Fund Deutsche Asset (Australia) 1.13% UBS Global Real Estate Investors (ex-australia) Index (hedged in AUD) Change of benchmark from Bloomberg Global Real Estate Investors (ex-australia) Index (hedged in AUD) to FTSE EPRA/NAREIT Developed ex- Australia Index (hedged in AUD) Managed Funds no longer available APIR CODE OPTION NAME Date of removal Comment INTERNATIONAL SHARES FSF0710AU NML0348AU Acadian Wholesale Global Equity Fund Wholesale Global Equity Value Acadian Asset LLC June 2014 Closed to new and AllianceBernstein June 2014 Closed to new and CEL0002AU Barclays DYNAMIC80 International Share Fund Celsius Investments Australia June 2013 Terminated by investment manager and proceeds credited to members cash accounts. FID0011AU Fidelity China Fund FIL June 2014 Closed to new and NMMT

7 APIR CODE OPTION NAME Date of removal Comment TGP0004AU UBS0012AU PROPERTY MAQ0816AU GVI Global Industrial Share Fund (Hedged) UBS Emerging Markets Equity Fund Charter Hall Direct Industrial Fund No.2 - Wholesale Aubrey Capital UBS Global Asset (Australia) Charter Hall Holdings Pty Ltd June 2014 June 2014 September 2013 Closed to new and Closed to new and Closed to investment by investment manager as the fund successfully attained the Total Offer Amount MAQ0406AU Van Eyk Blueprint Alternatives Fund(i) Van Eyk Research Pty Ltd August 2014 Closed to new investment and all holdings will be redeemed and credited to your cash account. AUSTRALIAN FIXED INTEREST HOW0091AU Guaranteed Income Fund 5.30% pa (Maturity 30/6/2014) Ltd June 2014 Fund matured on 30 June 2014 and proceeds paid to members cash accounts. AMP1233AU AMPCI Core Plus Strategies Fund - Class A Investors September 2014 Terminated by investment manager MULTI ASSET CLASS AMP0546AU Future Directions Balanced Fund Class A Investors (using a multimanager style July 2014 Closed to new investors. Existing investors can continue to make additional investments AMP0559AU Future Directions Growth Fund Class A Investors (using a multimanager style July 2014 Closed to new investors. Existing investors can continue to make additional investments CRM0008AU Cromwell Phoenix Property Securities Fund Phoenix Portfolios Pty Ltd February 2015 Closed to new investors. Existing investors can continue to make additional investments AMR0001AU Ascalon H3 Commodities Fund H3 Global Advisors Pty January 2015 Terminated by investment manager Model Portfolios no longer available OPTION NAME Date of removal Comment NMMT

8 OPTION NAME Date of removal Comment AUSTRALIAN SHARES Goldman Sachs Australian Resources Goldman Sachs Asset & Partners Australia Pty November 2013 Terminated by investment manager Researchers Pick Australian Share Concentrated Hillross Financial Services January 2015 Closed to new investors. Existing investors can continue to make additional investments Researchers Pick Australian Share Growth Hillross Financial Services January 2015 Terminated by investment manager Researchers Pick Australian Share Income Hillross Financial Services January 2015 Closed to new investors. Existing investors can continue to make additional investments NMMT

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

/ / 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

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

/ / 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

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

/ / 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

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

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

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

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

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

Morningstar Category Definitions

Morningstar Category Definitions Morningstar Category Definitions Morningstar Australasia Pty Ltd Disclaimer: 2015 Morningstar, Inc. All rights reserved. The information in this document is the property of Morningstar, Inc. Reproduction

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

AON MASTER TRUST. Introduction to investments. aonmastertrust.com.au

AON MASTER TRUST. Introduction to investments. aonmastertrust.com.au AON MASTER TRUST Introduction to investments aonmastertrust.com.au CONTENTS Risk versus return... 3 Asset classes... 4 Defensive and growth asset classes... 5 Asset class performance... 6 Managing risk...

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

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

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

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

A research study issued by the ASX and Russell Investments. Investing Report FULL REPORT / JUNE 2012

A research study issued by the ASX and Russell Investments. Investing Report FULL REPORT / JUNE 2012 A research study issued by the ASX and Russell Investments Long-Term Investing Report FULL REPORT / JUNE 2012 Helping everybody invest intelligently by offering a deeper insight into investment markets

More information

MERCER GLOBAL CREDIT FUND Product Disclosure Statement

MERCER GLOBAL CREDIT FUND Product Disclosure Statement MERCER GLOBAL CREDIT FUND Product Disclosure Statement 1 June 2015 ARSN: 141 046 282 APIR: MIN0032AU Contents Page 1. About Mercer Investments (Australia) Limited 2 2. How the Mercer Global Credit Fund

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

Your investment options explained

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

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

AMP Capital Investment Funds

AMP Capital Investment Funds AMP Capital Investment Funds Investment Statement Dated: 18 September 2015 Issued by AMP Investment Management (N.Z.) Limited Important information (The information in this section is required under the

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

CalPERS 457 Plan Target Retirement Date Funds

CalPERS 457 Plan Target Retirement Date Funds CalPERS 457 Plan Target Retirement Date s September 30, 2015 Overview Target Retirement Date s (the "" or "s") are a series of diversified funds, each of which has a predetermined underlying asset mix

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

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

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

AMP Capital Equity Fund. Product Disclosure Statement Platform (Class A units)

AMP Capital Equity Fund. Product Disclosure Statement Platform (Class A units) AMP Capital Equity Fund Product Disclosure Statement Platform (Class A units) Issued 28 August 2012 Issued by AMP Capital Investors Limited ABN 59 001 777 591 AFSL 232497 AMP Capital Equity Fund Issued

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

MERCER GLOBAL LOW VOLATILITY SHARES FUND Product Disclosure Statement

MERCER GLOBAL LOW VOLATILITY SHARES FUND Product Disclosure Statement MERCER GLOBAL LOW VOLATILITY SHARES FUND Product Disclosure Statement 1 June 2015 ARSN: 154 973 154 APIR: MIN0083AU Contents Page 1. About Mercer Investments (Australia) Limited 2 2. How the Mercer Global

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

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

How Gold Improves Alternative Asset

How Gold Improves Alternative Asset How Gold Improves Alternative Asset Performance Alternative investments began gaining traction during the inflationary times of the late 1970s and early 1980s. Modern Portfolio Theory (MPT), as outlined

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

Product Disclosure Statement

Product Disclosure Statement Product Disclosure Statement BT Wholesale Core Global Share Fund Issued 24 July 2015 Contents 1 About BT Investment Management (Fund Services) Limited 2 How the BT Wholesale Core Global Share Fund works

More information

How To Invest In Vanguard Index Funds (International)

How To Invest In Vanguard Index Funds (International) Michael Lovett Head of Distribution Vanguard The low cost revolution 3 ETF growth in Australia Value in A$m 16,000 14,000 12,000 10,000 8,000 6,000 4,000 2,000 Aus Market Cap: $15,925,100,000 bn # of Aus

More information

Responsible Investment Leaders Funds

Responsible Investment Leaders Funds Responsible Investment Leaders Funds Product Disclosure Statement For investments through a master trust or wrap platform Issued: 11 March 2013 Issued by AMP Capital Funds Management Limited ABN 15 159

More information

State Street Global Equity Fund ARSN 162 547 784 APIR SST0050AU

State Street Global Equity Fund ARSN 162 547 784 APIR SST0050AU Product Disclosure Statement State Street Global Equity Fund ARSN 162 547 784 APIR SST0050AU Issued 6 October 2015 by State Street Global Advisors, Australia Services Limited ABN 16 108 671 441, AFSL 274900

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

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

AMP Capital Equity Fund. Product Disclosure Statement Platform (Class A units)

AMP Capital Equity Fund. Product Disclosure Statement Platform (Class A units) AMP Capital Equity Fund Product Disclosure Statement Platform (Class A units) Issued 20 December 2013 Issued by AMP Capital Funds Management Limited ABN 15 159 557 721 AFSL 426455 AMP Capital Equity Fund

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

INTRODUCTION TO BETASHARES YIELD MAXIMISER FUNDS ASX CODE: YMAX (Australian Equities) & UMAX (US Equities)

INTRODUCTION TO BETASHARES YIELD MAXIMISER FUNDS ASX CODE: YMAX (Australian Equities) & UMAX (US Equities) ASX CODE: YMAX (Australian Equities) & UMAX (US Equities) www.betashares.com.au One of the more enduring investment themes in recent times has been the desire for income combined with less volatility.

More information

Issued ₁ July ₂₀₁₅. AMP Growth Bond. Product disclosure statement. This document is issued by AMP Life Limited ABN 84 079 300 379, AFSL No. 233671.

Issued ₁ July ₂₀₁₅. AMP Growth Bond. Product disclosure statement. This document is issued by AMP Life Limited ABN 84 079 300 379, AFSL No. 233671. Issued ₁ July ₂₀₁₅ AMP Growth Bond Product disclosure statement This document is issued by AMP Life Limited ABN 84 079 300 379, AFSL No. 233671. Contents About the AMP Growth Bond Features at a glance

More information

Product Disclosure Statement (PDS) Issued 12 September 2014

Product Disclosure Statement (PDS) Issued 12 September 2014 Product Disclosure Statement (PDS) Issued 12 September 2014 Nikko AM-Tyndall Australian Share Wholesale Fund Contents 1 About Nikko Asset Management Australia Limited 2 How the Nikko AM-Tyndall Australian

More information

Morningstar Core Equities Portfolio

Morningstar Core Equities Portfolio Morningstar Core Equities Portfolio Managed Portfolio Disclosure Document for members dated 29/02/2016. The Portfolio Manager is Morningstar Australasia Pty Limited (ABN 95 090 665 544, AFSL 240892). Issued

More information

COMMUNITY FOUNDATION OF GREATER MEMPHIS, INC. INVESTMENT GUIDELINES FOR MONEY MARKET POOL

COMMUNITY FOUNDATION OF GREATER MEMPHIS, INC. INVESTMENT GUIDELINES FOR MONEY MARKET POOL INVESTMENT GUIDELINES FOR MONEY MARKET POOL discretionary Money Market Pool is expected to pursue their stated investment strategy and follow the investment guidelines and objectives set forth herein.

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

A Case for Dividend Investing

A Case for Dividend Investing A Case for Dividend Investing Many investors may be surprised to learn that dividends paid by companies have accounted for 45% of the total return for Australian equities over the last 10 years 1. Buying

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

State Street Target Retirement Funds - Class K

State Street Target Retirement Funds - Class K The State Street Target Retirement Funds - Class K (the "Funds") represent units of ownership in the State Street Target Retirement Non-Lending Series Funds. The Funds seek to offer complete, low cost

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

UBS Diversified Fixed Income Fund Product Disclosure Statement

UBS Diversified Fixed Income Fund Product Disclosure Statement 12 October 2015 UBS Diversified Fixed Income Fund Product Disclosure Statement Issue No. 3 ARSN: 090 428 372 APIR: SBC0007AU MFUND: UAM06 Issued by UBS Global Asset Management (Australia) Ltd ABN 31 003

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

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

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

ADVANCE INTERNATIONAL SHARES MULTI-BLEND FUND Product Disclosure Statement (PDS)

ADVANCE INTERNATIONAL SHARES MULTI-BLEND FUND Product Disclosure Statement (PDS) ADVANCE INTERNATIONAL SHARES MULTI-BLEND FUND Product Disclosure Statement (PDS) Issued: 1 July 2015 ARSN 087 295 501 APIR ADV0053AU Contents 1. About Advance Asset Management Limited... 2 2. How the Fund

More information

ETFs and their Place in the 401(k) Market

ETFs and their Place in the 401(k) Market ETFs and their Place in the 401(k) Market Agenda Unique benefits of ETFs Why ETFs in 401(k)? How does it work? How are advisors using ETFs? What s next? 2 AN INTRODUCTION TO ISHARES 1 The BlackRock - ishares

More information

www.statewide.com.au/join

www.statewide.com.au/join How we invest your money Employer-sponsored and personal superannuation members. This document was prepared on 3 August 2015. The information in this document forms part of the Statewide product disclosure

More information

Sources of return for hedged global bond funds

Sources of return for hedged global bond funds Research commentary Sources of return for hedged global bond funds August 2012 Author Roger McIntosh Executive summary. The recent results in key bond market indices demonstrate the importance of a strategic,

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

ETF Portfolio Solutions Core Diversified ETF Model December quarter 2013

ETF Portfolio Solutions Core Diversified ETF Model December quarter 2013 ETF Portfolio Solutions ETF Model December quarter 2013 PORTFOLIO SOLUTIONS Portfolio Objective The broad investment objective of the ETF Model is to offer financial advisers an ETF-based investment portfolio

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

PERPETUAL PRIVATE SUPER WRAP

PERPETUAL PRIVATE SUPER WRAP PERPETUAL PRIVATE SUPER WRAP Product Disclosure Statement PRODUCT DISCLOSURE STATEMENT Issue number 4 dated 2 February 2015 Issued by Perpetual Superannuation Limited ABN 84 008 416 831 AFSL 225246 RSE

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

investment managers australian shares

investment managers australian shares investment managers The multi-manager portfolios provide access to the expertise of specialist investment managers across many different asset classes. Broad diversification can be achieved quickly and

More information

Zurich Investments Global Growth Share Fund APIR ZUR0580AU

Zurich Investments Global Growth Share Fund APIR ZUR0580AU Zurich Investments Global Growth Share Fund APIR ZUR0580AU Product Disclosure Statement (PDS) Preparation date 22 June 2012 Strategic investment partner: American Century Investments 1. About Zurich Investments

More information

Separately Managed Account Product Disclosure Statement

Separately Managed Account Product Disclosure Statement Separately Managed Account Product Disclosure Statement Preparation date 1 July 2014 Issued by Navigator Australia Limited (NAL) ABN 45 006 302 987 AFSL 236466 This information is general and doesn t take

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

GIPS List of Composite Descriptions. Perkins Composites...11. Fixed Income Composites... 14. Global Macro Composites...19. Alternative Composites...

GIPS List of Composite Descriptions. Perkins Composites...11. Fixed Income Composites... 14. Global Macro Composites...19. Alternative Composites... GIPS List of Composite Descriptions Updated 6/4/2015 Janus Equity Composites...2 Perkins Composites....11 Fixed Income Composites... 14 Global Macro Composites...19 Alternative Composites.....19 Allocation

More information

Investment choice. GESB Super and West State Super. Important note. ISSUE DATE: 1 July 2015 PREPARATION DATE: 26 June 2015

Investment choice. GESB Super and West State Super. Important note. ISSUE DATE: 1 July 2015 PREPARATION DATE: 26 June 2015 SUP E R ANNUATION Investment choice GESB Super and West State Super Important note The information in this document forms part of the Product Information Booklets for GESB Super and West State Super, each

More information

The Michigan Tech Fund STATEMENT OF INVESTMENT POLICY

The Michigan Tech Fund STATEMENT OF INVESTMENT POLICY The Michigan Tech Fund STATEMENT OF INVESTMENT POLICY APPROVED JULY 31,2013 TABLE OF CONTENTS Executive Summary... 2 Introduction and Purpose... 3 Scope of Policy... 4 Delegation of Responsibilities...

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

7 ESSENTIAL TIPS FOR MANAGING CURRENCY RISK

7 ESSENTIAL TIPS FOR MANAGING CURRENCY RISK 7 ESSENTIAL TIPS FOR MANAGING CURRENCY RISK At a Glance Investing offshore gives you access to a larger and more varied investment universe, with opportunities for growth and income that are simply unavailable

More information

KANSAS PUBLIC EMPLOYEES RETIREMENT SYSTEM INVESTMENT PERFORMANCE REPORT Capital Markets Overview June 30, 2015

KANSAS PUBLIC EMPLOYEES RETIREMENT SYSTEM INVESTMENT PERFORMANCE REPORT Capital Markets Overview June 30, 2015 INVESTMENT PERFORMANCE REPORT Capital Markets Overview June 30, 2015 Overview The year ending June 30, 2015 was a difficult time period for so-called risk assets. Following two fiscal years of robust,

More information

MLC Investment Management. Constructing Fixed Income Portfolios in a Low Interest Rate Environment. August 2010

MLC Investment Management. Constructing Fixed Income Portfolios in a Low Interest Rate Environment. August 2010 Constructing Fixed Income Portfolios in a Low Interest Rate Environment August 2010 Stuart Piper Portfolio Manager MLC Investment Management For Adviser Use Only 1 Important Information: This Information

More information

Deutsche Alternative Asset Allocation VIP

Deutsche Alternative Asset Allocation VIP Alternative Deutsche Alternative Asset Allocation VIP All-in-one exposure to alternative asset classes : a key piece in asset allocation Building a portfolio of stocks, bonds and cash has long been recognized

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

Financial Services Guide

Financial Services Guide Financial Services Guide Version 18.0 Issue date: 23 March 2015 Important information We recommend you read this Financial Services Guide (FSG) because it contains important information designed to help

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

Financial Services Guide (FSG)

Financial Services Guide (FSG) Financial Services Guide (FSG) A guide to the services we provide and how we will work with you to achieve your goals Llewelyn Financial Services Pty Ltd trading as Planwell Financial Group 56 B Wyndham

More information

1 JULY 2015. Investment Guide INDUSTRY, CORPORATE AND PERSONAL DIVISIONS

1 JULY 2015. Investment Guide INDUSTRY, CORPORATE AND PERSONAL DIVISIONS 1 JULY 2015 Investment Guide INDUSTRY, CORPORATE AND PERSONAL DIVISIONS Your investment choice TWUSUPER was established in 1984 as the Industry SuperFund for people in transport and logistics. By understanding

More information

ETF Basics: An Introduction to ishares Exchange Traded Funds

ETF Basics: An Introduction to ishares Exchange Traded Funds ETF Basics: An Introduction to ishares Exchange Traded Funds Agenda Growth of ETFs and Barclays Global Investors The engine of ETFs Unique benefits of ETFs and ishares Low cost Tax efficiency Transparency

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

EQT Diversified Fixed Income Fund

EQT Diversified Fixed Income Fund EQT Diversified Fixed Income Fund Product Disclosure Statement ARSN 601 989 815 APIR ETL0420AU Issue Date 10 August 2015 This Product Disclosure Statement ( PDS ) has been prepared and issued by Equity

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

CAPITAL MARKETS REVIEW Q4 2011

CAPITAL MARKETS REVIEW Q4 2011 CAPITAL MARKETS REVIEW Q4 2011 Reviewing the quarter ended September 30, 2011 J. Matthew Hager // David S. Dennerll, CFP // Benjamin R. Stacy 255 East Fifth St. Suite 2210 // Cincinnati, OH 45202 513-287-6778

More information

VIP Benchmark Glossary

VIP Benchmark Glossary VIP Benchmark Glossary Benchmark descriptions in this document are effective as of December 12, 2014. A benchmark is an industry-standard method to measure the overall performance of specific types of

More information

Your guide to Managed Funds.

Your guide to Managed Funds. Your guide to Managed Funds. An introduction to Managed Funds 1 Investing in Managed Funds 2 Key benefits 6 Risks 7 The Citibank advantage 8 About Citigold 11 An introduction to Managed Funds There s a

More information