investment returns

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2015/2016 Financial Year

Volatile market conditions during the year saw mixed results across investment sectors. Australian and International equites produced low returns while strong returns were provided by the listed property and fixed interest sectors. Interest rate cuts by the RBA during the year also negatively impacted the returns on cash.

Each of the Plan’s investment strategies achieved strong positive returns for the 2015/2016 financial year as follows:

Investment strategy Cash Capital Stable Balanced Growth High Growth
Accumulation Crediting rate 2.45% 4.69% 6.08% 5.44% 4.62%


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