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Cash Option
Objective
To achieve capital stability by providing a diversified exposure to Australian Cash.
Risk/Return Profile
Very Low risk and Low returns
Suitability
Short term investments such as bank accounts, cash management trusts and term deposits
Strategic Asset Allocation

Date established
May 1997
(previously known as Cash Plus).
Investment Performance
Year ended 30 June |
Return (p.a.) |
2000 |
4.8% |
2001 |
5.5% |
2002 |
4.1% |
2003 |
4.1% |
2004 |
5.9% |
2005 |
5.2% |
2006 |
4.7% |
2007 |
5.4% |
For latest returns, close this window and see the Investment Performance page of this web site.
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