Asset allocations are as at 24 May 2025. This information is subject to change. The asset allocation reflects a strategic mix, but the actual allocation may vary due to market movements, contributions, withdrawals, or changes in investment types.
The Risk Band is based on regulated Standard Risk Measure guidelines.
Fees and costs are correct as at 24 May 2025.
1 Investment fees and costs and transaction costs are an estimate of costs expected from 24 May 2025 to 30 June 2025 (annualised) and in the 2025/26 financial year. As a result, these figures are indicative only and may change in subsequent years.
2 Other fees and costs may apply, including activity fees, insurance fees and buy-sell spreads. See the Product Disclosure Statement for more information.