Mercer Indexed High Growth Fund
About this Fund
Fund Detail
PDS | https://informedinvestor.com.au/view/pds/101055-2024-01-18-02:32.pdf |
FUND MANAGER | Advance asset management |
ASX Code | |
APIR | WFS0592AU |
ASSET CLASS | EXCHANGE TRADED FUNDS |
INVESTMENT STYLE | The Fund invests primarily in growth assets such as Australian and international shares with some exposure to property. |
INVESTMENT PROFILE | The Fund seeks to provide investors with similar returns before fees to the composite benchmark of underlying funds' indices. |
CURRENCY MANAGEMENT | Active management |
INCEPTION DATE | 01-08-2016 |
BENCHMARK | Custom composite |
FUND SIZE | Custom composite |
DISTRIBUTION FREQUENCY | Quarterly |
NO. OF HOLDINGS | |
FEES | 0.30% p.a. |
STRUCTURE |
Benefits
Benefits | Benefits of investing in the BT Index High Growth FundThe key benefits of the Fund are as follows.
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RISK LEVEL | 6 |
INVESTOR SUITABILITY | Investor suitabilityThe Fund is intended to be suitable for investors seeking index exposure to a diversified range of investments with income producing and growth characteristics who have a very high tolerance for risk. |
Risks
Title | |
Detail |
Key Features
What is an index?An index comprises all available investments (or a specific sample of) in a particular market or sector, such as Australian shares, property or fixed interest. It measures the performance of a particular market or sector over time. An index fund invests in the same securities as the index it tracks and will continually rebalance to ensure it matches the index allocations. Investors in an index fund have indirect access to the income and growth of the securities in the index with lower transaction costs compared with personally owning and managing these securities directly. Using a BT Diversified Index FundThe Funds invest in a number of indices across different asset classes. The allocation to each asset class and index will depend on:
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Mandate
How we invest your moneyThe Fund invests primarily in growth assets such as Australian and international shares with some exposure to property. The Fund's exposure to these asset classes will be obtained primarily by investing directly into our sector specific funds. The Fund may also hold assets directly including derivatives, currency and other unit trusts. Strategic asset allocation (SAA) ranges
Total Growth Assets: 90-100% Total Defensive Assets: 0-10% |