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Lifeplan Education Fund-BT Conservative

Fund manager Lifeplan Australia Friendly Society Ltd
APIR code LIF0029AU
S&P Rating Not Rated
Morningstar Rating™ QuestionMark starstarstar
Platform name N/A
Product Disclosure Statement
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Fund Facts
Legal structure Investment Bond
Fund inception date 11 Jul 2007
Fund objective Aims to provide a return (before all fees, costs and taxes) that exceeds the benchmark return of the underlying portfolio over the medium term.
Fund strategy 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.
Fund size $0.17 million (as at 31 Dec 2011 )
Entry price $1.0564 (as at 02 Feb 2012)
Exit price $1.0564 (as at 02 Feb 2012)
Valuation frequency Other
Cash distribution (cents/unit) N/A
Distribution as at date N/A
Fund Performance (as at 31/01/2012)
* returns greater than 1 year are annualised
1 month 3 months 1 year 3 yrs pa* 5 yrs pa* Since inception pa*
Total return 0.57% 1.37% 2.31% 4.59% N/A 1.20%
Growth return 0.57% 1.37% 2.31% 4.59% N/A 1.20%
Income return 0.00% 0.00% 0.00% 0.00% N/A 0.00%
Peer group rank/group size 35 (37) 2 (37) 15 (37) 9 (34) N/A N/A
Morningstar peer group return 0.91% 0.93% 1.85% 3.84% 1.36% N/A
Market return 1.72% 2.25% 3.82% 6.27% 3.00% 7.44%
Asset Allocation (as at 31/12/2011)
Class
% held
Australian Shares
14.41%
International Shares
5.16%
Cash
18.08%
Listed Property
3.24%
Direct Property
0.00%
Australian Fixed Interest
40.79%
International Fixed Interest
12.31%
Mortgage
0.00%
Other
6.01%
Total
100.00%
Top 10 Holdings
Holding
% held
No top 10 holdings information is available for this fund.
Investment Details
Initial investment $1000.00
Additional investment $500.00
Redemption amount $500.00
Regular savings plan Yes
Standard entry fee 4.00%
2020 entry fee 0.00%
Standard exit fee 0.00%
2020 exit fee 0.00%
ICR pa (30/06/2011) 2.00%
Performance fee 0.03%
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Fee Disclosure
2020 DIRECTINVEST may receive a trailing commission ranging from 0.2% - 0.6% pa. This trailing commission is paid by the fund manager and is NOT an additional charge to the investor.

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