The above table shows the strategic asset allocation effective 1 November 2021. Note that we may vary the strategic asset allocation and asset allocation ranges for an investment option from time to time without prior notice.
Range: 0% to 100%
These currency exposure targets and ranges refer to the proportion of assets that are subject to foreign exchange rate movements. The actual currency exposure in place at a point in time depends on market conditions and the liquidity needs of the investment option.
Invests in an actively managed portfolio of companies listed on global stock exchanges, including both developed and emerging markets. Note that this option is only partly hedged, and as such, will fluctuate both as a result of changes in the value of the underlying shares and currency movements.
Standard Risk Measure
7 – Very high
Who might invest in this option?
This option may suit investors wanting strong long-term returns but who are prepared to accept full exposure to the ups and downs of investing in the share market and the impact of currency movements, including periods of negative returns.