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Investment disclosures

This page provides information on asset allocation, currency exposure and portfolio holdings.

Groups of similar assets are referred to as ‘asset classes’.

Your investment options are made up of a mix of these asset classes:

  • Cash
  • Fixed interest
  • Equities
  • Property
  • Infrastructure
  • Alternatives

‘Asset allocation’ represents the relative proportion, or percentage, of the portfolio that a particular asset class invests in.

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The tables below provide information on the asset allocation and currency exposure for the Balanced (MySuper) option, current as at 30 June 2024.

The figures below are not the target asset allocations for the financial year—these can be found in the Investment Options and Risk publication at Product Disclosure Statement.

 
Asset class Actual asset allocation (% of total assets, including derivatives, in the investment option) Effect of derivatives exposure (% of total assets, including derivatives, in the investment option)
Cash 13.68% -5.25%
Fixed income 11.23% 1.77%
Equities 53.74% 3.48%
Property 5.84% 0.00%
Infrastructure 9.60% 0.00%
Alternatives 5.91% 0.00%
Total 100.0%  
Currency exposure Actual currency exposure (% of assets and derivatives under management) Effect of derivatives exposure (% of assets and derivatives under management)
AUD 49.81% 25.12%
USD 36.53% -17.03%
Currencies of other developed markets 11.66% -6.64%
Currencies of emerging markets 2.00% -1.45%
Total 100.0%  

Portfolio holdings as at 30 June 2024

The full list of portfolio holdings can be found in “Table 1 – Assets” via the linked files below.

Download Aggressive

Download Balanced

Download MySuper Balanced

Download Cash

Download Income Focused

 

Note

All disclosures are based on the investment holdings information held by our custodian and calculated in accordance with the Corporations Regulations 2001.

Figures in the tables above have been rounded, please refer to download data file for more detail.

Asset class Actual asset allocation (% of total assets, including derivatives, in the investment option) Effect of derivatives exposure (% of total assets, including derivatives, in the investment option)
Cash 12.40% -5.34%
Fixed income 11.18% 1.80%
Equities 54.69% 3.54%
Property 5.94% 0.00%
Infrastructure 9.77% 0.00%
Alternatives 6.01% 0.00%
Total 100.0%  
Currency exposure Actual currency exposure (% of assets and derivatives under management) Effect of derivatives exposure (% of assets and derivatives under management)
AUD 48.93% 25.32%
USD 37.18% -17.14%
Currencies of other developed markets 11.87% -6.71%
Currencies of emerging markets 2.03% -1.47%
Total 100.0%  

Portfolio holdings as at 30 June 2024

The full list of portfolio holdings can be found in “Table 1 – Assets” via the linked files below.

Download Aggressive

Download MySuper Balanced

Download Cash

Download Income Focused

 

Note

All disclosures are based on the investment holdings information held by our custodian and calculated in accordance with the Corporations Regulations 2001.

Figures in the tables above have been rounded, please refer to download data file for more detail.

Asset class Actual asset allocation (% of total assets, including derivatives, in the investment option) Effect of derivatives exposure (% of total assets, including derivatives, in the investment option)
Cash 18.83% -5.23%
Fixed income 21.10% 1.88%
Equities 38.17% 3.35%
Property 6.30% 0.00%
Infrastructure 9.81% 0.00%
Alternatives 5.78% 0.00%
Total 100.0%  
Currency exposure Actual currency exposure (% of assets and derivatives under management) Effect of derivatives exposure (% of assets and derivatives under management)
AUD 55.96% 25.76%
USD 31.01% -16.48%
Currencies of other developed markets 11.41% -8.04%
Currencies of emerging markets 1.62% -1.24%
Total 100.0%  

Portfolio holdings as at 30 June 2024

The full list of portfolio holdings can be found in “Table 1 – Assets” via the linked files below.

Download Aggressive

Download Balanced

Download Cash

Download Income Focused

 

Note

All disclosures are based on the investment holdings information held by our custodian and calculated in accordance with the Corporations Regulations 2001.

Figures in the tables above have been rounded, please refer to download data file for more detail.

Asset class Actual asset allocation (% of total assets, including derivatives, in the investment option) Effect of derivatives exposure (% of total assets, including derivatives, in the investment option)
Cash 12.85% -5.31%
Fixed income 11.20% 1.79%
Equities 54.36% 3.52%
Property 5.90% 0.00%
Infrastructure 9.71% 0.00%
Alternatives 5.98% 0.00%
Total 100.0%  
Currency exposure Actual currency exposure (% of assets and derivatives under management) Effect of derivatives exposure (% of assets and derivatives under management)
AUD 49.22% 26.01%
USD 36.96% -17.70%
Currencies of other developed markets 11.80% -6.84%
Currencies of emerging markets 2.02% -1.48%
Total 100.0%  

Portfolio holdings as at 30 June 2024

The full list of portfolio holdings can be found in “Table 1 – Assets” via the linked files below.

Download Aggressive

Download Balanced

Download Cash

Download Income Focused

 

Note

All disclosures are based on the investment holdings information held by our custodian and calculated in accordance with the Corporations Regulations 2001.

Figures in the tables above have been rounded, please refer to download data file for more detail.

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