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Responsible Investment Leaders Conservative Fund
The Responsible Investment Leaders Conservative Fund gives investors access to a diversified portfolio with a core of cash and fixed interest, with some exposure to shares and property.
Key features
- a diversified multi manager strategy that blends manager styles and asset classes, with the objective of providing investors with competitive returns across a range of markets
- a robust investment process that combines an sustainability focus with stringent financial analysis
- access to specialist managers and sustainability consultants within Australia and internationally
Fund facts |
|
| APIR code | n/a |
| Fund aim | To provide a stable return at a rate above inflation, while accepting low to medium levels of volatility. |
Who should invest? |
Investors seeking capital stability with some exposure to growth assets and in agreement with the Fund’s socially responsible investment framework. |
Risk level |
Low |
Time frame |
Minimum 3 years |
| Inception date | 24 January 2006 (Class A units) 9 December 2004 (Wholesale units) |
| Benchmark | Average weighted return of the market indices used to measure the performance of the underlying funds in which the Fund invests. |
Responsible Investment Leaders funds
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