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FY24 in review

Fund commentary for the 12 months ended 30 June 2024.
Published 12 Jul 2024   |   1 min read

Strong equity markets brought returns during the year, but also more risk with elevated valuations.

Expert insights

Domestic active equities
Stock selection in the technology sector was the stand-out contributor to our performance this year.

Multi-asset (global)
Our risk focus means we favour protecting investors from potential drawdowns while selectively participating in further upside scenarios.

Fund updates

Australian Shares Fund

Australian Shares SMA Portfolio

Balanced Fund

Emerging Companies Fund

High Conviction Fund

International Shares Fund

Fixed Interest Fund

Australian Ethical Infrastructure Debt Fund

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