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Lifeplan Flexishield Inv Bond Cap Gtd

LIF0311AU
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Lifeplan Flexishield Inv Bond Cap Gtd LIF0311AU Strategy

Current investment strategy incorporates a weighting towards registered first mortgages over commercial properties. The balance of the portfolio is held in short term interest bearing investments such as bank accepted bills; for liquidity purposes. The standard portfolio mix is registered first mortgages - 75% and bank bills and liquid investments - 25%.
The investment objective & strategy is a summary of the investment's principal strategy as written in the prospectus. This information is pulled from the most recent product disclosure document.

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Index
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CAC 40 7,990.36 32.90 -0.41%
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Dow JONES (US) 37,775.38 22.07 0.06%
FTSE 100 7,820.70 56.35 -0.72%
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Market Movers

Name
Last price
Change
% Change
Imugene Ltd IMU 0.07 0.01 -8.97%
Sayona Mining Ltd SYA 0.03 0.00 -2.94%
Australian Vanadium Ltd AVL 0.02 0.00 -6.25%
Pantoro Ltd PNR 0.09 0.00 0.00%
The Star Entertainment Group Ltd SGR 0.42 0.00 0.00%
Pilbara Minerals Ltd PLS 3.83 0.09 -2.30%
Telstra Group Ltd TLS 3.65 0.02 -0.55%
Zip Co Ltd ZIP 1.09 0.05 -4.39%
South32 Ltd S32 3.19 0.10 -3.04%
Alligator Energy Ltd AGE 0.05 0.00 -3.64%