Investment Options
Funds SA offers a range of investment options, from cash to growth-oriented strategies and tailored strategies, to specifically meet our client’s investment objectives.
Our investment and operational approach enables us to cater for different tax environments, with investment options available for tax-exempt investors, tax-paying investors, and those investors who are able to take advantage of franking credit refunds.
There are currently 17 investment options, including tailored options for specific clients, distinguished by differing risk profiles, return targets, investment time horizons, and tax status.
These investment options invest into common asset class pools according to the strategic asset allocation for each option.
Investment Objectives
| Funds SA investment option | Investment horizon | Target return | Risk of a negative return | Growth asset ranges* |
|---|---|---|---|---|
| Cash | 0+ years | RBA Cash rate | Less than 0.5 years in 20 | 0% |
| Capital Defensive | 2+ years | CP+ 0.5% | Between 2 and 3 years in 20 | 10% - 40% |
| Conservative | 4+ years | CPI + 1.5% | Between 2 and 3 years in 20 | 25% - 55% |
| Moderate | 6+ years | CPI + 2.5% | Between 3 and 4 years in 20 | 40% - 70% |
| Socially Responsible | 10+ years | CPI + 3.0% | Between 4 and 6 years in 20 | 57% - 87% |
| Balanced | 10+ years | CPI + 3.5% | Between 4 and 6 years in 20 | 60% - 90% |
| High Growth | 10+ years | CPI + 4.0% | Between 4 and 6 years in 20 | 70% - 100% |
| Defined Benefit | 10+ years | CPI + 4.5% | Between 4 and 6 years in 20 | 70% - 100% |
* ‘Growth’ assets include equities, certain types of property and growth alternatives. The remainder of the funds are invested in ‘Defensive’ assets, including fixed income, inflation linked bonds and cash.
Please note: The investment objectives state the aims of each investment option and are designed to help investors with their investment decisions. The objectives have been developed having regard for the long-term performance and characteristics of financial markets. There is a reasonable probability that the target returns for each investment option will be achieved over its stated time horizon based on the investment strategies employed. However, there is no guarantee the target returns will be met because financial markets are volatile and past performance is not a reliable indicator of future performance. Indeed, for investment options with exposure to growth assets, there is a material likelihood that returns may be negative in any particular year.
