Unit prices and returns

Core Super, Executive Super & Select Super returns and unit prices
Month-end returns as at 31 March 2017 Weekly unit prices
1 month FYTD 1 yr (%pa) 3 yr (%pa) 5 yr (%pa) 7 yr (%pa) 10 yr (%pa) as at 21 April 2017
Stable 0.77 4.33 6.62 5.76 6.18 5.88 5.04 2.1879
Conservative 1.00 5.09 7.89 5.95 7.61 6.28 4.38 1.6575
Balanced 1.80 8.30 11.52 8.58 10.07 7.93 5.31 3.0058
Growth 2.35 10.47 14.13 10.43 11.77 8.39 4.62 3.0244
Combined Shares 2.85 11.99 16.08 10.33 12.61 8.77 4.66 2.0683
Cash 0.18 1.68 2.28 2.47 3.00 3.31 3.67 1.712
Bonds/Fixed Interest 0.30 0.42 3.03 4.64 4.86 5.69 5.95 2.1885
Property 1.53 7.36 9.86 10.60 8.55 9.50 6.04 2.6879
Australian Shares 2.89 12.01 16.91 9.56 11.37 7.64 4.79 4.2941
International Shares 2.79 11.92 15.16 9.93 13.82 9.99 3.93 2.2731

*The Conservative and Combined Shares investment options are available in Executive Super and Select Super only. Past performance is not an indication of future performance.

Source: SuperRatings Fund Crediting Rate Survey

Historical Unit Prices

Core Super

Executive/Select Super

Core/Executive/Select Super 

 

Super Stream Investment returns and unit prices
Month-end returns as at 31 March 2017 Weekly unit prices
1 month FYTD 1 yr (%pa) 3 yr (%pa) 5 yr (%pa) 7 yr (%pa) 10 yr (%pa) as at 21 April 2017
Stable 0.88 4.99 7.60 6.22 6.88 6.53 5.56 2.316
Conservative 1.15 5.82 8.96 6.97 8.74 7.12 4.88 1.7716
Balanced 2.04 9.44 13.09 9.70 11.25 8.76 5.77 3.2058
Growth 2.67 11.90 16.04 11.33 12.81 9.05 4.87 3.0966
Combined Shares 3.23 13.51 17.97 10.89 13.44 9.25 4.87 2.1543
Cash 0.21 1.97 2.68 2.86 3.51 3.78 3.81 1.8463
Bonds/Fixed Interest 0.34 0.49 3.52 5.31 5.64 6.61 6.88 2.3911
Property 1.73 8.35 11.18 11.76 9.49 10.40 6.67 2.8019
Australian Shares 3.14 13.12 18.53 10.92 12.63 8.38 5.24 4.4302
International Shares 3.17 13.60 17.29 10.96 14.62 10.49 4.22 2.4694

Past performance is not an indication of future performance.

Source: SuperRatings Fund Crediting Rate Survey

Historical Unit Prices

Stream

 

Important information about unit pricing & investment switching

Unit Price Cycle
The Unit Prices are updated weekly. The unit price weekly cycle commences at 12.00am on a Saturday morning, and ends at 11.59pm on a Friday evening.
At the end of this cycle, a unit price is determined based on the investment market movements from the weekly cycle.
This price is then made available with an effective date of Thursday following the end of the weekly cycle.

Investment Switching
Members can switch as often as they want without incurring any charge. However, only 1 switch will be accepted per weekly unit price cycle.
The last investment switch received when the weekly unit price cycle closes (11.59pm Friday night), will be applied to a Members account.