Funds

Australian Property Fund

Investment Objective

To achieve a return (before fees and tax) that exceeds the notional return of a benchmark portfolio of suitable market indices over periods of three years or greater.

To achieve a return (over the medium to longer term) which is competitive with comparable funds that have similar risk characteristics.

Investment Strategy

The Fund invests in Australian property securities using a multi-manager approach.

Fund Features

Inception date31 January 1993
APIR codeSMF0107AU
Distribution frequencyQuarterly
Investment minimum$100,000
Minimum withdrawalNo minimum
Volatility / riskHigh
Estimated management cost

0.77%

Fees and charges

Estimated performance fee: 0.03%

Regular Investment PlanNot available in this product
Buy / sell spread0.50%
Products available through

The Portfolio Service, BT Wrap, Spectrum Super, Macqurie Wrap, Austchoice Super and First Quest

Performance

UNITED SECTOR LEADERS WHOLESALE FUNDS

As at3 mths
% p.a.
1 yr
% p.a.
2 yrs
% p.a.
3 yrs
% p.a.
4 yrs
% p.a.
5 yrs
% p.a.
S.I.
% p.a.
None
United Sector Leaders Australian Property Fund28/11/08-37.9-57.0-33.7-16.7-9.8-3.08.2

Underlying Sector Managers

Associated Files