Invests in money market securities such as bank term deposits, bank bills and other liquid cash securities.
This option is designed for members who wish to select a very defensive asset allocation with a very low chance of a negative return and expected stable but lower returns over the long term.
Outperform the Bloomberg AusBond Bank Bill Index over a year.
Standard Risk Measure
The risk level of this option is very low, with a likelihood of negative returns occurring 0.0 years in a 20-year period.
Minimum Investment Timeframe
There is no minimum period suggested for holding this option.
Strategic Asset Allocation
May 1997 (previously known as Cash Plus).
For latest returns and market report, see the Performance section.