EISS Super MySuper Conservative Balanced

This option aims to achieve a return of CPI + 2.5% pa over 5 years (after fees and taxes).

The strategic asset allocation for this option is 59% growth assets (eg Australian and international shares) and 41% defensive assets (eg fixed income and cash).

Minimum investment timeframe 5 years.


Performance History

1 mth (%) 3 mth (%) FYTD* 1 yr % (pa) 3 yr % (pa) 5 yr % (pa) 7 yr % (pa) 10 yr % (pa)
*FYTD means Financial Year to Date starting 1 July.

Asset Allocation

Growth assets
Australian equities
International equities
Growth alternatives
Private equity
Total growth assets
Defensive assets
Fixed income
Defensive alternatives
Total defensive assets

If you had an account with $100,000 invested it would be invested as follows:

Unit Prices

Investment option Date $

Top 10 equity holdings as at 31 January 2018

Australian Equity Holdings International Equity Holdings
1. Commonwealth Bank of Australia  1. Thermo Fisher Scientific Inc
2. Westpac Banking Corporation  2. Visa Inc
3. Australia & New Zealand Banking Gr Ltd  3. Accenture PLC Ireland
4. BHP Billiton Limited 4. Honeywell International Inc 
5. Wesfarmers Limited 5. Medtronic Inc 
6. Rio Tinto Limited  6. State Street Corporation  
7. National Australia Bank Limited 7. Comcast Corporation 
8. Woodside Petroleum Limited 8. LVMH Moet Hennessy LV Societe 
9. Telstra Corporation Limited 9. Danone
10. CSL Limited 10. Bayer



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