Foundation Funds

The Fund aims to provide moderate returns (before fees and taxes) comprising income and some capital growth over the short to medium term by investing in a diversified mix of assets.

Conservative - Potential vs Risk

Performance Summary

Performance Data as at 30-Sep-2019
1 Month 0.81%
3 Month 1.32%
6 Month 3.54%
1 Year 5.16%
2 Year (p.a.) 4.86%
3 Year (p.a.) 4.75%
5 Year (p.a.) 4.93%
Since Inception (p.a.)* 4.05%
Fund Assets ($ million) 18.65
*Inception Date: 30-Sep-2005
Unit Prices

Price Date Application Price Nav Redemption Price Distribution Price
17-Oct-2019 1.0101 1.01 1.0099 0
16-Oct-2019 1.0116 1.0115 1.0114 0
15-Oct-2019 1.0094 1.0093 1.0092 0
14-Oct-2019 1.0085 1.0084 1.0083 0
11-Oct-2019 1.0072 1.0071 1.007 0

IOOF Investment Management Limited ABN 53 006 695 021, AFSL 230524 is the Responsible Entity for the Funds. IOOF is a company within the IOOF group which consists of IOOF Holdings Ltd ABN 49 100 103 722 and its related bodies corporate. This document is not intended to represent investment or professional advice. The information does not take into account your individual objectives, financial circumstances or needs. You should assess whether the information is appropriate for you, having regard to your objectives, financial circumstances or needs. You should consider the PDS for the Funds in deciding whether to acquire or to continue to hold the investment and consider talking to a licensed or appropriately authorised financial adviser before making an investment decision.