ANZ OA TAP-Schroder Real Return EF

ANZ0929AU

ANZ OA TAP-Schroder Real Return EF ANZ0929AU Strategy

The Underlying Fund is managed to an objective based multi-asset strategy. The Underlying Fund uses a dynamic approach to asset allocation to take full advantage of the opportunities presented in the market. The diverse nature of the Underlying Fund’s investment universe and broad investment ranges ensures that it has the flexibility to effectively and efficiently allocate to and select those assets that in combination target the greatest probability of achieving the Underlying Fund’s investment objective in all market environments.
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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Markets

Index
Last price
Change
% Change
All Ordinaries9,313.2019.60-0.21%
CAC 408,655.765.200.06%
DAX 4026,515.10215.360.82%
Dow JONES (US)53,839.9969.720.13%
FTSE 10010,775.673.000.03%
HKSE25,116.85279.66-1.10%
NASDAQ26,803.03214.540.81%
Nikkei 22568,713.80405.200.59%
NZX 50 Index13,854.3829.080.21%
S&P 5007,798.9950.490.65%
S&P/ASX 2009,115.2019.90-0.22%
SSE Composite Index3,927.180.210.01%

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