Property investment strategy
| Property |
| Asset allocation |
100% listed and unlisted property trust units.
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| Investment objective* |
To achieve moderate to high real (above inflation) investment growth. This portfolio invests in a range of both listed and unlisted property trusts, with diversification by fund manager and by type of property exposure (eg commercial/office, retail and/ or industrial). Property tends to produce investment returns which generally reflect both rental income (which behaves like fixed income securities) and capital growth (through potential for rising rental streams). |
| Risk profile |
Moderate to high – can deliver negative returns over short-term time horizons.
|
| Investment time horizon |
Medium to long term (5–10 years) |
| Most suitable for |
Members with an investment timeframe of 5–10 years, or whose financial position allows a moderate to 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 due to movements in market valuations.
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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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