Milliman Wholesale Managed Risk Multi-Index High Growth – Class A (FSF1763AU) Report & Performance

What is the Milliman Wholesale Managed Risk Multi-Index High Growth – Class A fund?

The fund aims to perform in line with the underlying fund’s composite benchmark over rolling five-year periods before fees and taxes with lower volatility and improved risk adjusted returns over a full market cycle. It is also aims seeks to perform a long-term capital growth through exposure to equity markets while utilising a risk management strategy designed to reduce volatility and minimise losses in declining markets.

  • Exposed to a diversified portfolio of shares, property and infrastructure to provide potential for capital growth.
  • The fund will utilise exchange traded index futures contracts to implement the fund’s objective of reducing overall portfolio volatility and providing downside protection by hedging against the fund’s equity market risk (the property and infrastructure exposures will be excluded from this process).

Growth of $1000 Investment Over Time

Performance Report

Peer Comparison Report

Peer Comparison Report

Product Snapshot

  • Performance Review
  • Product Overview
  • Peer Comparison
  • Product Details

Performance Review

Fund Name Last Month
? Returns after fees in the most recent (last) month).
3 Months Return
? Returns after fees in the most recent 3 months.
1 Year Return
? Trailing 12 month returns.
3 Years Average Return
? Average Annual returns from the last 3 years.
Since Inc. Average Return
? Average (annualised) returns since inception
1 Year Std. Dev. (Annual)
? The standard deviation (or annual volatility) of the last 12 months.
3 Years Std. Dev. (Annual)
? The average standard deviation (or annual volatility) from the last 3 years.
Since Inc. Std. Dev. (Annual)
? The average standard deviation (or annual volatility) since the fund inception.
1 Year Max Drawdown
? The maximum drawdown in the last 12 months - a drawdown is a peak-to-trough decline during a specific period for an investment, trading account, or fund.
3 Year Max Drawdown
? The maximum drawdown in the last 36 months - a drawdown is a peak-to-trough decline during a specific period for an investment, trading account, or fund.
Since Inc. Max Drawdown
? The maximum drawdown since inception - a drawdown is a peak-to-trough decline during a specific period for an investment, trading account, or fund.
Milliman Wholesale Managed Risk Multi-Index High Growth – Class A-0.45%5.89%8.7%9.39%4.85%11.92%10.17%9.14%-6.34%-12.02%-16.35%

Product Overview

Peer Comparison

Product Details

Product Due Diligence

What is Milliman Wholesale Managed Risk Multi-Index High Growth – Class A

Milliman Wholesale Managed Risk Multi-Index High Growth – Class A is an Managed Funds investment product that is benchmarked against Multi-Asset Growth Investor Index and sits inside the Multi-Asset - Specialised Index. Think of a benchmark as a standard where investment performance can be measured. Typically, market indices like the ASX200 and market-segment stock indexes are used for this purpose. The Milliman Wholesale Managed Risk Multi-Index High Growth – Class A has Assets Under Management of 0.50 M with a management fee of 0.71%, a performance fee of 0.00% and a buy/sell spread fee of 0.3%.

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Does the investment product produce Alpha over its Peers?

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What level of diversification will Milliman Wholesale Managed Risk Multi-Index High Growth – Class A provide?

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How do I compare the Milliman Wholesale Managed Risk Multi-Index High Growth – Class A with the Multi-Asset Growth Investor Index?

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