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Aggressive Option
Objective
To achieve strong long-term investment returns, whilst tolerating a very high level of volatility in returns. More specifically, returns after tax and fees that exceed CPI increases by at least 3% pa over rolling 5 and 7 year periods will be sought.
Risk/Return Profile
High risk and High returns
Suitability
Members who are looking for strong investment returns over the long term and are willing to tolerate a very high variability in returns.
Strategic Asset Allocation

Date established
May 1997 (previously known as Growth Option)
Investment Performance
Year ended 30 June |
Return (p.a.) |
2000 |
17.3% |
2001 |
6.8% |
2002 |
-9.1% |
2003 |
-5.1% |
2004 |
16.1% |
2005 |
16.3% |
2006 |
17.7% |
2007 |
25.0% |
For latest returns, close this window and see the Investment Performance page of this web site.
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