RL Inv Bond 5/93 - Capital Stable 3 (G)

PRU0604AU

RL Inv Bond 5/93 - Capital Stable 3 (G) PRU0604AU Strategy

Invests at least 70% in low-risk fixed interest or money market securities at all times. There is a small component of quality property and shares in leading Australian and international companies. Asset range: Australian equities 5-20%; overseas equities 0-10%; property 0-15%; Australian bonds (including index-linked bonds) 35-65%; overseas bonds 0-15%; cash 10-40%.
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.

Funds News & Analysis

funds

The 10 US stocks top fund managers are selling in a jittery market

Top investors have been selling these stocks recently.
funds

The index fund turns 50: How Jack Bogle changed investing forever

Vanguard’s pioneering S&P 500 fund was once mocked as ‘Bogle’s folly.’
funds

Active fund manager success rates ticked up in 2026, but passive funds still hold the advantage

Long-term trends point to categories where active managers are more likely to outperform.

Morningstar Investment Ideas

Markets

Index
Last price
Change
% Change
All Ordinaries8,920.2013.800.15%
CAC 408,179.7763.010.78%
DAX 4025,568.56207.410.82%
Dow JONES (US)52,573.29509.190.98%
FTSE 10010,650.4441.520.39%
HKSE24,805.63148.84-0.60%
NASDAQ26,333.04251.310.96%
Nikkei 22564,011.341,259.61-1.93%
NZX 50 Index13,580.33130.68-0.95%
S&P 5007,656.9865.280.86%
S&P/ASX 2008,741.2023.300.27%
SSE Composite Index3,888.1146.29-1.18%

Market Movers