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Designed for members who wish to select a moderately aggressive investment with some risk of negative returns. This option invests in a number of different property sectors, such as office buildings, shopping centres and warehouses.

Key information

Investment objective

This option aims to outperform its benchmark, a blend of the Mercer Australia Unlisted Property Index (80%) and the FTSE EPRA/NAREIT Global Index (20%, hedged), over a rolling 5 year period.


Invest in Australian and overseas listed and unlisted commercial property trusts.

Benchmark asset allocation

100% property. This option aims to remain fully invested in property.  However, due to timing differences and the need to generate cash flow requirements for member transactions, it may from time to time hold some cash and cash equivalents.

Minimum Investment Timeframe

The minimum suggested time frame to invest in this product is long term (5 to 10 years). Members should hold the investment for a minimum of 5 years.

Standard risk measure

The risk level of this option is medium to high, with a likelihood of negative returns occurring in 3.5 years in a 20 year period.

These are the latest published investment returns for Property.

Our Investment Approach

The way we manage your investments is important to understanding why we have consistently been a top-performing Australian super fund over many years.*

Our Investment Approach
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