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Fund name APIR Morningstar
rating
Sector Returns
3 Mth. 1 Yr. 3 Yr.
ANZ OneAnswer - Investment Portfolio - OnePath Australian Property Securities Index EF ANZ0855AU starstarstar Equity Australia Real Estate 5.98% 7.29% 6.46%
ANZ OneAnswer - Investment Portfolio - OnePath Australian Shares NE ANZ0344AU starstarstar Equity Australia Large Blend 9.37% 15.39% 12.32%
ANZ OneAnswer - Investment Portfolio - OnePath Conservative ANZ0036AU starstarstar Multisector Moderate 0.94% 4.60% 3.36%
ANZ OneAnswer - Investment Portfolio - OnePath Geared Australian Shares Id Trust EF/Sel MMF0983AU starstarstar Equity Australia Large Geared 5.55% 16.28% 6.10%
ANZ OneAnswer - Investment Portfolio - OnePath Geared Australian Shares Index Trust NEF MMF0984AU starstarstarstar Equity Australia Large Geared 16.09% 16.76% 16.76%
ANZ OneAnswer - Investment Portfolio - OnePath Global Share EF ANZ0833AU starstarstar Equity World Large Blend -1.30% 16.33% 13.71%
ANZ OneAnswer - Investment Portfolio - OnePath Growth Index EF MMF1434AU starstarstar Multisector Growth 1.20% 7.33% 5.22%
ANZ OneAnswer - Investment Portfolio - OnePath High Growth Index EF MMF1446AU starstarstar Multisector Aggressive 1.19% 7.77% 6.24%
ANZ OneAnswer - Investment Portfolio - Optimix Conservative EF ANZ0376AU starstarstar Multisector Moderate 0.91% 5.53% 3.73%
ANZ OneAnswer - Investment Portfolio - Optimix Global Shares NE ANZ0381AU starstarstar Equity World Large Blend 4.86% 13.06% 17.00%
ANZ OneAnswer - Investment Portfolio - Optimix Property Securities NE ANZ0373AU starstarstar Equity Australia Real Estate 12.52% 15.00% 13.99%
ANZ OneAnswer - Investment Portfolio - Pendal Australian Shares EF MMF1163AU starstarstar Equity Australia Large Blend 2.92% 1.29% 2.52%
ANZ OneAnswer - Investment Portfolio - Pendal Mly Income Pl EF/Sel MMF1061AU starstarstar Multisector Conservative 1.02% 2.69% 2.78%
ANZ OneAnswer - Investment Portfolio - Perpetual Australian Shares EF ANZ0390AU starstarstar Equity Australia Large Value 1.68% 4.65% 4.24%
ANZ OneAnswer - Investment Portfolio - Perpetual Conservative Growth EF ANZ0843AU starstarstarstar Multisector Moderate 1.36% 5.63% 1.74%
ANZ OneAnswer - Investment Portfolio - Perpetual Ethical SRI EF/Sel MMF1058AU starstarstar Equity Australia Mid/Small Value 1.95% 3.81% 2.06%
ANZ OneAnswer - Investment Portfolio - Schroder Australian Equity EF ANZ0392AU starstarstar Equity Australia Large Blend 1.95% 6.48% 5.55%
ANZ OneAnswer - Investment Portfolio - T Rowe Price Global Equity EF MMF1231AU starstarstar Equity World Large Growth -2.40% 5.42% 9.87%
ANZ OneAnswer - Investment Portfolio - T.Rowe Price Dynamic Global Bond EF MMF7684AU starstarstar Unconstrained Fixed Income 1.07% 4.31% -0.58%
ANZ Private Global Equities (Actvly Hedged) MMF2184AU starstarstar Equity World - Currency Hedged 10.03% 12.34% 15.50%
OA - OnePath Greencape Broadcap MMF1488AU starstarstar Equity Australia Large Growth 5.43% 7.30% 11.82%
OA Ausbil Australian Emerging Leaders MMF1468AU starstarstarstar Equity Australia Mid/Small Growth 14.52% 17.42% 12.56%
OA Schroder Fixed Income MMF1931AU starstarstar Bonds - Australia 2.24% 6.68% 3.76%
OneAnswer - Frontier Investment Portfolio - Platinum Asia MMF1928AU starstarstar Equity Asia Pacific w/o Japan 3.76% 15.47% 6.89%
OnePath Arrowstreet Global Equities (Hedged) (EF) MMF0408AU starstarstarstarstar Equity World - Currency Hedged 2.19% 8.94% 11.38%

26 - 50 of 176 results

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Fund data sourced from Morningstar. Some material is copyright and published under licence from ASX Operations Pty Limited ACN 004 523 782 ("ASXO"). Data and content is provided for personal use only. Whilst every care has been taken in producing these numbers, neither Morningstar nor InvestSMART can make any guarantees around the complete accuracy of these figures. Should you decide to change investments, please read all relevant disclosure documents including the Product Disclosure Statements and if required, you may consider speaking to a financial professional for further guidance. A tax event may be realised as a result of switching investments. Past performance is not a reliable indicator of future performance.