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Fund Facts
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Legal structure
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Investment Bond
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Fund inception date
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11 Jul 2007
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Fund objective
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Aims to provide a return (before all fees, costs and taxes) that exceeds the benchmark return of the underlying portfolio over the medium term.
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Fund strategy
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To invest in Australian and global shares, Australian and global property securities, Australian and global fixed interest, cash and alternative assets. The underlying portfolio has a significant weighting towards defensive assets.
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Fund size
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$0.17
million (as at
31 Dec 2011
)
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Entry price
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$1.0564
(as at
02 Feb 2012)
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Exit price
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$1.0564
(as at
02 Feb 2012)
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Valuation frequency
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Other
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Cash distribution (cents/unit)
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N/A
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Distribution as at date
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N/A
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