RL Insurance Bond - Managed

CML0215AU

RL Insurance Bond - Managed CML0215AU Strategy

Invests around 60% in Australian and foreign shares. The asset profile of the Fund is to be maintained close to 37.5% Australian shares; 22.5% foreign shares; 15% property; 20% fixed interest and 5% cash.
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

Morningstar Investment Ideas

Markets

Index
Last price
Change
% Change
All Ordinaries8,795.2023.200.26%
CAC 407,662.593.32-0.04%
DAX 4023,673.29236.32-0.99%
Dow JONES (US)44,494.94400.170.91%
FTSE 1008,785.3324.370.28%
HKSE24,264.65192.370.80%
NASDAQ20,202.89166.84-0.82%
Nikkei 22539,593.72392.61-0.98%
NZX 50 Index12,818.5984.060.66%
S&P 5006,198.016.94-0.11%
S&P/ASX 2008,562.0020.900.24%
SSE Composite Index3,457.780.030.00%

Market Movers