Compare Funds


Choose from the drop-down menus to compare funds across a number of characteristics. All statistics quoted to September 2017 quarter-end.


OVERVIEW
DESCRIPTION
OBJECTIVE
HIGHLIGHTS
MAXIMUM EXPOSURE TO GROWTH ASSETS
RISK RATING*
TIME HORIZON
ASSET CLASS
PERFORMANCE
10 YEAR PERFORMANCE
5 YEAR PERFORMANCE
3 YEAR PERFORMANCE
RISK MEASURES
STANDARD DEVIATION (LAST 5 YEARS)
MAXIMUM DRAWDOWN (SINCE LAUNCH)
SHARPE RATIO (SINCE LAUNCH)
SORTINO RATIO (5 YEARS)
BEST 12 MONTHS
WORST 12 MONTHS
GENERAL INFORMATION
LAUNCH DATE
INCOME DISTRIBUTION
INVESTMENT MINIMUM
REGULATION 28
CURRENCY AVAILABILITY
FEES
FEE STRUCTURE