International Equities investment strategy
| International Equities |
| Asset allocation |
100% international equities
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| Investment objective* |
This strategy aims to achieve high long-term real (above inflation) investment growth. The portfolio is designed to deliver returns typical of a diversified range of shares listed on a range of international markets, and will be benchmarked against the Morgan Stanley Capital International (MSCI) World Equity Index. The Fund’s currency hedging policy is designed to reduce the effects of an adverse movement in the value of the Australian dollar. The currency hedge ratio can vary over time.
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| Risk profile |
Higher risk – can deliver negative returns over short-term time horizons
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| Investment time horizon |
Longer term (10+ years) |
| Most suitable for |
Members with an investment timeframe of at least 10 years, or whose financial position allows a higher level of risk |
*This objective does not constitute a forecast or guarantee of future performance of the investment strategy or the future rates of return of the investment strategy. Please note that negative returns can occur.
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First State Super Investment Strategies
Pre-mixed
High Growth Diversified Balanced Capital Guarded
Single asset class
Australian Equities International Equities Property Australian Fixed Interest International Fixed Interest Cash
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