International
shares

Aim

To provide a diversified investment in international shares.

Objective

To earn at least the benchmark return for international shares (MSCI All Country World Index unhedged)
over a rolling 10 year period, net of tax and fees.

Strategy

Invest 100% in international shares.

Strategic asset allocation

International Shares 90% – 100%

Cash 0% – 10%

Suitability

For members who:

  • have a long time frame for their investment (7 years or more);

  • can tolerate risk and investment losses from time to time; and

  • understand the gains and losses that can occur in any share market.

Minimum investment time frame

If you choose this option be prepared to stay invested for 7 years or more before it meets its objectives.

Expected frequency of a negative annual return

To have no more than six negative annual returns in any 20 year period (on average).

annual Returns

For the year ending 30 JuneSuperPension
2022-9.7%-11.1%
202118.3%21.3%
20203.6%4.1%
201911.8%13.7%
201815.0%17.6%
3 year average4.1%4.8%
5 year average7.8%9.1%