MLC MultiActive Capital Stable

 

Features

Information

APIR codeIOF0094AU
Minimum suggested Investment time frame3 years
Risk/return profile Low
Risk (estimated number of negative annual returns over any 20 years period)0.5 but less than 1 time in every 20 years
Growth/defensiveGrowth 15% / Defensive 85%
BenchmarkIOOF Capital Stable Composite
FE fundinfo sectorMixed Asset - Cautious
Income distribution frequencyHalf yearly
Total estimated management costs as at 30/09/20240.60% pa
Fund size$87.98m
Inception date29 April 2008

Investment minimums

Initial investment$25,000
Additional investment$5,000
Switch/withdrawal$5,000

Pricing

Price date31/03/2025
Entry$1.0145
Exit$1.0156

Standard risk measure

1 2 3 4 5 6 7
Standard Risk Measure

A Standard Risk Measure score of 2 equates to a Risk Label of 'Low' and an estimated number of negative annual returns over any 20 year period of 0.5 to less than 1. This is a measure of expected frequency (not magnitude) of capital losses, calculated in accordance with ASFA/FSC guidelines.

Investment objective

To provide a low risk investment over the short to medium term by investing predominantly in defensive assets, and to achieve a total return after fees in excess of the Trust’s benchmark over a rolling three-year period.

Investment strategy

The Trust generally gains its exposure to a diversified portfolio of investments through a mix of investment managers.

The risk-averse nature of the Trust means it provides greater exposure to defensive income-bearing assets, such as cash, fixed interest and alternative - defensive. It may also hold a small exposure to growth assets such as Australian and international property and shares.

The Trust is authorised to utilise approved derivative instruments for risk management purposes subject to the specific restriction that the derivative instruments cannot be used to gear portfolio exposure.

The underlying investment managers may utilise strategies for the management of currency exposure. The level of currency hedging used for the Trust will vary from time to time. The Trust has the capacity to apply a currency overlay to manage the Trust’s currency risk.

Investor profile

The Trust may be suitable for investors:
- with an investment time frame of approximately three years
- with a low risk tolerance
- who are seeking a risk-averse portfolio of predominantly income producing assets.

Research house ratings

Rating

LonsecRecommended
ZenithApproved

Meet the manager(s)

MLCImage

Our impressive investment capabilities are driven by our investment team and structure. Our unified team has had a long association with creating and managing multi-manager portfolios for investors and draws on the very best of our individual corporate heritages, honed over multiple investment cycles. We have created an investment capability of significant depth and breadth in the industry – leveraging a powerful common engine room working for the benefit of our clients. Using our market-leading investment approach, we structure our portfolios to deliver more reliable returns across many potential market environments.

This website contains general advice only and does not take into account your financial circumstances, needs and objectives. Before making any decision based on this information, you should assess your own circumstances or seek advice from a financial adviser. You should obtain and consider a copy of the relevant Product Disclosure Statement (PDS) or offer document available from us or your financial adviser, before you acquire a financial product. Disclaimers - IOOF.


Important information:
Other fees and costs may apply to your investment option. To obtain this information please refer to the latest Product Disclosure Statement (PDS), Target Market Determination (TMD) and/or Financial Services Guide (FSG) available at https://www.ioof.com.au/forms, speak to your Financial Adviser or call IOOF on 1800 002 217 between 8am and 5.30pm (AEST/AEDT), Monday to Friday.

Amounts displayed for each option are generally updated on either a monthly or quarterly basis. Amounts shown may therefore differ from those set out in the latest PDS or FSG.


Lonsec


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Zenith


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Cumulative performance

ResetPerformance line chart
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3 months6 monthsYear to date1 year3 years pa5 years pa
Fund0.76%1.12%0.76%4.55%3.64%3.92%
FE Sector0.94%1.61%0.94%3.95%3.09%3.72%
Benchmark0.83%1.07%0.83%4.09%2.57%2.16%

Calendar Performance

Performance Bar chart
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31/12/202431/12/202331/12/202231/12/202131/12/2020
Fund5.66%6.29%-3.94%3.23%4.84%
FE Sector5.18%5.96%-4.89%3.85%2.84%
Benchmark4.55%5.80%-6.33%1.73%3.33%

This website contains general advice only and does not take into account your financial circumstances, needs and objectives. Before making any decision based on this information, you should assess your own circumstances or seek advice from a financial adviser. You should obtain and consider a copy of the relevant Product Disclosure Statement (PDS) or offer document available from us or your financial adviser, before you acquire a financial product. Disclaimers - IOOF.


Performance is net of management costs and expenses. Performance is based on exit price to exit price for the period and assumes that all distributions are reinvested. Management costs and other expenses are accounted for in the exit price. Past performance is not a reliable indicator of future performance.


The performance data has been sourced by FE fundinfo.

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Asset allocation as at 31/3/2025

Breakdown pie chart
Australian shares2.55%
Global Shares4.68%
Australian property4.07%
Global property1.45%
Infrastructure1.27%
Australian fixed interest29.96%
Global fixed interest30.28%
Cash and short-term securities25.73%

Asset allocation range


Asset class Asset range
Australian shares 0-20%
Global shares 0-20%
Diversified fixed interest 35-70%
Property 0-15%
Alternatives 0-15%
Infrastructure 0-15%
Cash and short-term securities 15-45%

Actual versus target asset allocation as at 31/3/2025

This website contains general advice only and does not take into account your financial circumstances, needs and objectives. Before making any decision based on this information, you should assess your own circumstances or seek advice from a financial adviser. You should obtain and consider a copy of the relevant Product Disclosure Statement (PDS) or offer document available from us or your financial adviser, before you acquire a financial product. Disclaimers - IOOF.


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Manager diversification within each asset class as at 31/3/2025

Breakdown pie chart

This website contains general advice only and does not take into account your financial circumstances, needs and objectives. Before making any decision based on this information, you should assess your own circumstances or seek advice from a financial adviser. You should obtain and consider a copy of the relevant Product Disclosure Statement (PDS) or offer document available from us or your financial adviser, before you acquire a financial product. Disclaimers - IOOF.


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Latest portfolio positioning

Adviser presentations PPT
Investment update for financial advisers - summarises the key drivers of performance, how our diversified funds are positioned and how they've performed relative to peers.

Insights and portfolio positioning update PDF
The latest adviser update is available and explains MLCAM's assessment of the current market environment, cyclical factors influencing our asset allocation process, our asset class expectations and how our diversified funds (including MLC Managed Account Strategies) are positioned.


Insights and positioning for Investors

Chart pack
MLC popular charts pack - a great resource for client conversations with charts and graphs explaining key investment concepts.

 

This website contains general advice only and does not take into account your financial circumstances, needs and objectives. Before making any decision based on this information, you should assess your own circumstances or seek advice from a financial adviser. You should obtain and consider a copy of the relevant Product Disclosure Statement (PDS) or offer document available from us or your financial adviser, before you acquire a financial product. Disclaimers - IOOF.


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Portfolio highlights

As at 31 March 2025


There were no manager changes during the quarter.


Contributors to performance


The diversified fixed interest portfolio added value due to outperformance of Janus Henderson, PGIM and Brandywine.


The international shares portolio outperformed due to outperformance of Pzena, Arrowstreet, Royal London and Brown.


Detractors from performance


The Australian shares portfolio underprformed due to poor performance from Antares, Quest, Selector and a general overweight to small caps.

Source: IOOF Investments This website contains general advice only and does not take into account your financial circumstances, needs and objectives. Before making any decision based on this information, you should assess your own circumstances or seek advice from a financial adviser. You should obtain and consider a copy of the relevant Product Disclosure Statement (PDS) or offer document available from us or your financial adviser, before you acquire a financial product. Disclaimers - IOOF.


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