Gyrostat Risk Managed Equity A

GYC6212AU

Gyrostat Risk Managed Equity A GYC6212AU Strategy

The objectives of the Fund are: Returns: 6% -8% in trending markets, greater than 8% in changing markets, short term bond returns in stable markets Income: Minimum cash rate BBSW 90 + 3% from dividends and franking credits paid semi annually Protection: No quarterly Net Asset Value draw-downs exceeding 3%
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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All Ordinaries9,375.9019.700.21%
CAC 408,188.59111.591.38%
DAX 4024,272.1990.820.38%
Dow JONES (US)45,901.36351.95-0.76%
FTSE 1009,436.0911.340.12%
HKSE25,888.5122.09-0.09%
NASDAQ22,495.40174.68-0.77%
Nikkei 22548,277.74605.071.27%
NZX 50 Index13,389.1081.700.61%
S&P 5006,615.2755.79-0.84%
S&P/ASX 2009,068.4018.200.20%
SSE Composite Index3,916.234.020.10%

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