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The Property Investment Option is one of nine DIY Mix Investment Options available to AustralianSuper members.

Investment results for Property

 
Investment result Financial Year To Date history Monthly rates history
 
 
Investment result Financial Year To Date history Monthly rates history
 
 
Investment result Financial Year To Date history Monthly rates history
 
 

Investment result

Period Credit rate
Daily rate (26.08.08) -0.02%
Financial Year To Date (01.07.08 - 26.08.08) -0.13%
6 months to 30.06.08 0.60%
1 year to 30.06.08 7.43%
3 year Avg to 30.06.08 12.74%
5 year Avg to 30.06.08 11.59%
10 year Avg to 30.06.08 n/a
Since inception 01.07.99 10.31%

FYTD history

The chart below is a daily account of AustralianSuper's financial-year-to-date (FYTD) performance.

The FYTD history tracks the daily movement of an investment option's performance within the given financial year.

You can use the calendar below to review our FYTD performance history by selecting a date-range within the same financial year.

 

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Monthly rates history

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Assets

 
 

Investment description

Investments in direct property in Australia and overseas, primarily through trusts not listed on stock exchanges.

Investment objective

To outperform (after tax and after fees) CPI + 3% p.a. over the medium term.

Investment management

To invest with a variety of Property managers, both local and international to produce strong and stable investment performance within a cost-effective structure.

Investment period

Longer term

Investment risk

High

Date of inception

01/07/1999

Investment management fee:
2007    0.45%

* Please note that the returns quoted are net of fees and tax. The 1 year, 3 year, 5 year and since inception figures, where they appear, are rolling returns as at 30 June 2008. These historical returns are the combined return information from previous ARF and STA investment options.

Where only one of the merging funds previously offered an equivalent to an option in the new product suite, the returns of that option have been used. Where both funds offered an equivalent option, the returns have been asset weighted across both options on a monthly basis, as per industry best practice. Where data isn’t available for one or both of the equivalent options, the monthly returns have been averaged. The same process has been used for calculating historical investment fees. Investment returns are not guaranteed as all investments carry some risk. Past performance gives no indication of future returns.

The strategic asset allocation and other information shown in this section is current as at 31 December 2007. The Trustee may alter the strategic asset allocation or the composition of individual asset classes from time to time to suit prevailing market circumstances.

Read about our Crediting Policy
Read the Investment Switching and ASX 200 acknowledgements and conditions.

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