Conservative Balanced
Objective
To achieve solid long term returns over the long term. Returns are likely to be moderately volatile and risk of capital loss over short to medium term periods is significant.
Return Objective
CPI + 3.25% over rolling 10 years.
Standard Risk Measure
Estimated number of negative annual returns over any 20 year period, 2 to less than 3 years.
Risk Band and Label
Risk Band 5, Medium to High
Target Asset Allocation
55% Growth Assets
45% Defensive Assets
Strategic Asset Allocation
Date established
June 2012
Performance
For latest returns and market report, see the Performance section.