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Investment Centre

Asset consultants

Investing can be complex. It requires experience, skill, and most importantly, time and focus. For this reason the Trustee employs the services of an asset consulting firm. It is the role of our asset consultant to assist the Trustee to do the following:

  • Set the benchmark asset allocation to meet the performance objectives of each investment option;
  • Select underlying investment managers with expertise and experience in each asset class;
  • Monitor the performance of the underlying investment managers;
  • Monitor the performance of each investment option; and
  • Recommend changes to the investment mix or investment managers.

The performance of the asset consultants, investment managers and the investment options is reviewed regularly by the Trustees.

Underlying Investment Managers as of 1 May 2010

Investment Managers Target weight Benchmark
Australian Equities

Vanguard (Passive)

50.0%

S&P/ASX300 Accumulation Index

Cooper Investors

25.0%

S&P/ASX200 Accumulation Index

Concord Capital

25.0%

S&P/ASX200 Accumulation Index

Total

100.0%

International Equities

Vanguard (Passive)

60.0%

MSCI World (ex-Australia) Index with net dividends reinvested in $A (hedged)

Altrinsic

10.0%

MSCI World (ex-Australia) Index with net dividends reinvested in $A (unhedged)

Zurich Global Thematic

10.0%

MSCI World (ex-Australia) Index with net dividends reinvested in $A (unhedged)

Trilogy

10.0%

MSCI World (ex-Australia) Index with net dividends reinvested in $A (unhedged)

Genesis (Emerging markets)

10.0%

MSCI Emerging Markets Index with net dividends reinvested in $A (unhedged)

Total

100.0%

Direct Property

DEXUS Wholesale Property Fund

66.7%

Mercer Unlisted Property Funds Index (Gross Median Return)

Charter Hall Property Office Fund

33.3%

CPI + 5.0% pa

Total

100.0%

Global Listed Property

LaSalle

100.0%

UBS Global Real Investors Index in $A net of withholding tax (hedged)

Total

100.0%

Australian Cash

BlackRock (Passive)

100.0%

UBSA Bank Bill Index

Total

100.0%

Structured Beta

Bridgewater All Weather

100.0%

UBSA Bank Bill Index + 3.0% pa

Total

100.0%

Hedge Funds

K2 Advisors Diversity Fund, Ltd.

100.0%

UBSA Bank Bill Index + 1.0% pa

Total

100.0%

Infrastructure

Hastings Utilities Trust of Australia

100.0%

CPI + 5.0% pa

Total

100.0%

Australian Fixed Interest

Schroder

70.0%

UBSA Composite Bond Index

Vianova

30.0%

UBSA Composite Bond Index

Total

100.0%

International Fixed Interest

BlackRock (Passive)

100.0%

Barclays Capital Global Aggregate Index in $A (hedged)

Total

100.0%

Global Inflation Linked Bonds

BlackRock (Passive)

50.0%

Barclays Capital World Government ILB Index in $A (hedged)

PIMCO

50.0%

Barclays Capital World Government ILB Index in $A (hedged)

Total

100.0%

Cash

BlackRock (Passive)

100.0%

UBSA Bank Bill Index

Total

100.0%

 

Managers with a performance fee for MER calculation

As at 1 April 2010

Around 15% of the Fund's assets are subject to potential performance fees if they achieve certain investment performance targets.

Manager/ Fund Asset Class Performance fee basis Calculation
period
Low High*

Cooper Investors AE Fund

Australian Shares

10% of performance in excess of benchmark.

Monthly
(3 year rolling high water mark)

Nil

0.60%

Charter Hall CPOF

Property

Up to 15% of performance between 11% and 13% p.a. and 20% of performance in excess of 13% p.a.(calculated over 3 years).

3 years

Nil

1.80%

K2 Advisors

Liquid Alternatives

15% of outperformance over Bank Bill Rate +1.0% p.a.

Annually

Nil

1.50%

Macquarie RMBS

Liquid Alternatives

15% of outperformance over Bank Bill Rate +0.15% p.a.

Quarterly

Nil

0.70%

Hastings UTA

Private Capital

10% of out performance < benchmark +2% p.a., plus 15% of out performance > benchmark +2% p.a., calculated up to a maximum of 20% p.a. absolute return.

Half-yearly
(Continuous high watermark)

Nil

1.50%

*Performance Fee is based on a +1 standard deviation variance from the expected performance of the Manager. This may differ from any fee cap that applies.

 

Asset consultant

Towers Watson

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Product Disclosure Statement
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Member Access
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This information is of a general nature only. It is important to consider the appropriateness of this product having regard to your objectives, situation and needs. Before making a decision about SMARTpension, please consider your own requirements and the SMARTpension Product Disclosure Statement. For a copy call us on 1300 366 508 or download from this website.

Professional Associations Superannuation Limited (PASL) (ABN 14 056 917 303 AFSL 222590 RSE L0000352) is the Trustee of Professional Associations Superannuation Fund (PASF) (ABN 78 984 178 687 RSE R1000429). SMARTpension is a division of PASF.

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