FSI Diversified FSF0008AU Strategy
The option’s broad asset allocation is to be 70% invested in growth assets and 30% in defensive assets. Allocations are reviewed regularly although a reallocation is only considered in response to a fundamental change in long‑term expectations or market demand. The option aims to add value through a disciplined approach to the selection of the investments held by the option. Derivatives may be used for risk management. The option may hedge some or all of its currency exposure.
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.
|Dow JONES (US)||35,430.42||13.44||0.04%|
|NZX 50 Index||11,202.38||33.56||-0.30%|
|SSE Composite Index||3,021.69||16.87||-0.56%|
|Pilbara Minerals Ltd PLS||3.56||0.02||-0.56%|
|Telstra Group Ltd TLS||3.78||0.00||0.00%|
|South32 Ltd S32||3.06||0.04||-1.29%|
|Cettire Ltd CTT||3.45||0.07||2.07%|
|Scentre Group SCG||2.63||0.06||2.33%|
|Ventia Services Group Ltd VNT||2.91||0.02||0.69%|
|Stockland Corp Ltd SGP||4.07||0.05||1.24%|
|Santos Ltd STO||6.94||0.06||-0.86%|
|Aurizon Holdings Ltd AZJ||3.55||0.06||-1.66%|
|Evolution Mining Ltd EVN||4.07||0.21||5.44%|