Search Results | Showing 11 - 20 of 269 results for %22Australian Property Bonds%22 |
| | ... and sustainable growth options. The core strategy, which yielded a 9.26% return in FY23, will increase allocations in Australian and international equities, while reducing exposure to debt, infrastructure, property, and alternatives. The sustainable ... |
| | | ... comes to how men and women plan for retirement. According to Vanguard's How Australia Retires study, almost half of Australian women do not have a clear strategy for retirement in comparison to their male counterparts. Nearly 46% of women surveyed said ... |
| | | ... 16% of the portfolio is invested in companies considered to be at the forefront of AI, UniSuper said. Meanwhile, the Australian Bonds option was the worst performer with 0.9% for the year due to the sustained rise in inflation, and the Listed Property ... |
| | | ... Growth option returned 11.5% p.a. while the International Shares option was the best performer at 18.8% p.a. followed by Australian Shares at 14% p.a. "Similarly, retired members invested in our RetireAccess diversified options also enjoyed strong performance ... |
| | | ... performance that's top tier when ranked against our peers." Of the industry funds that have reported results thus far, Australian Retirement Trust takes the lead with a 10% return, while Cbus and AustralianSuper trail with 8.95% and 8.22% respectively. ... |
| | | ... 2018 Macquarie AM has won the Investment Manager of the Year award. It also won the Fixed Income Aggregate Bonds and Australian Equities Active Core categories for its Macquarie Dynamic Bond Fund and the Macquarie Australian Shares Fund respectively. ... |
| | | ... or debt also offering attractive returns and with more protection albeit higher on the capital stack. "We see more Australian investors looking to allocate to private debt, and our GIRA partners say the same is true of US and UK investors. Frontier said ... |
| | | ... an external bond fund, it need only disclose the name of the fund manager, obscuring whether the investment was in Australian government debt, emerging-market bonds, and so on. If the external fund had exposure to a 'blow-up', such as Credit ... |
| | | ... Shares, Australian Shares, International Shares - Index (hedged), International Shares - Index (unhedged), Australian Property - Index, and Diversified Bonds - Index options will also be reduced. However, members invested in the Socially Conscious Balanced ... |
| | | ... Socially Conscious, which has a growth/defensive split of 88%/12%. This option invests in various asset classes, including Australian and overseas shares, private equity, infrastructure, and property investments, while excluding investments in companies ... |
|