SPEC Super - generating wealth An Industry SuperFund

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Capital Stable

This is a new investment option which was introduced from 1 October 2008.

  • Growth 35%
  • Defensive 65%

Investment Objectives

To provide returns over time from a portfolio that invests in a number of asset classes favouring defensive assets and a moderate allocation to growth assets. CPI plus 2% over 5 rolling years.

Credit RatesPerformance
30 June 2009-3.15 p.a. **
5 year average*-3.15% p.a.
Strategic Asset Allocations
Graph
Suggested investment period

2 to 5 years

Risk of negative return

1 in 20 years

Type of investor this would suit

Investors with a relatively short investment horizon whose main concern is capital preservation. The moderate allocation to growth assets will be suitable for conservative investors that want a bit of growth in the their portfolio over the medium term.

* Average is the compound average of the crediting rates over the past 5 years or shorter where the option was introduced from a later date. CPI over the same 5 year period averaged 2.92% p.a.

**Returns are for the period from 1/10/08 to 30/6/09

^ Figures in brackets denote allowable range for asset allocation.

Past Performance is not a reliable indicator of future performance