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Fund Performance Comparison

This fund is benchmarked against the {{ }} index.

This fund's fees are: {{ mer | percentage:2 }}

Relative Fund Performance vs {{ fund.benchmark.peers.peerCount }} peers and {{ }}

Fee comparison

NOTE: Over the long term, higher fees lead to lower returns

{{ }} Average
Benchmark* Peers Fees InvestSMART's Fees
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* A benchmark is an arbitary calculation that does not have any fees. Hence why in the long term the majority of fund managers underperform their benchmark by the cost of their fees. InvestSMART provides low cost funds that track their benchmark.

Fund performance (30 Apr 2017)

NOTE : returns for periods greater than 1 year are annualised
  1 Month % 3 Month % 6 Month % 1 Year % p.a. 2 Year % p.a. 3 Year % p.a. 5 Year % p.a. 10 Year % p.a.
Total return 1.48 5.95 7.29 17.02 -2.68 11 8.78 -
Growth return 1.48 5.95 7.29 17.02 -2.68 11 8.78 -
Income return 0 0 0 0 0 0 0 -

Market index (MSCI AC Asia Ex Japan NR AUD)

Total return -1.56 0.8 3.08 15.38 19.92 7.84 13.2 7.44

Asset Allocation (30 Apr 2017)

Australian Equities 0%
International Equities 6.29%
Cash 93.71%
Property 0%
Fixed Interest 0%
Alternatives 0%
Asset Allocation

General Information

AMP - Flexible Lifetime Allocated Pension - AMP Capital - Asian Equity Growth
AMP Superannuation Limited
Equity Asia Pacific w/o Japan
star (as at 30 Apr 2017)
Allocated Pension
12 Nov 2010
$0.42 million (as at 30 Apr 2017)
$1.19196 (as at 9 May 2017)
$1.19196 (as at 9 May 2017)

Objectives and Strategy

To provide returns (capital growth and income) above the Fund's performance benchmark over the long term. The benchmark for the fund is the MSCI All Country Asia ex Japan Net Index (AUD).
The Fund targets listed investment opportunities across the Asia (ex-Japan) region in developed and emerging markets, including those in Greater China, the Indian Sub-continent, and East and South-East Asia. The Fund generally invests in companies with a market capitalisation over US$1 billion and may also invest in cash and other securities.

Offer information

Standard entry fee 4.50%
Indirect Cost Ratio (ICR) 2.51% (as at 30 Jun 2016)
Minimum initial investment $20,000
Minimum additional investments $1,500.00
Minimum redemption amount

Top 10 holdings (as at 31 Mar 2017)

Holding Type % of Portfolio
Haitong Securities Co Ltd H Equity 31.50%
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DISCLOSURE: InvestSMART Group Limited employees may have an interest in the securities and managed funds displayed via this service. Please refer to our Financial Services Guide for more information.

Data shown on this website is sourced by Morningstar
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