To provide a return that exceeds the benchmark return (before fees and tax) over any 12-month period.
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Over the year ending 30 September 2024
Over the last 10
years
Level of investment risk
Level 1
Expected return and risk profile
Very Low
Estimated number of negative returns over any 20 year period
Less than 0.5
Suggested minimum timeframe
1-2 years
Target - The asset allocation expected to achieve the investment objective over the investment period.
Type: Cash and short-term fixed interest securities
Target: 100%
Type: Bloomberg AusBond Bank Bill Index