FUNDS

All Funds



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Fund Inception Date Performance (p.a.)
As of 30/4/2024
Unit Price
As of 7/5/2024
1 Month 3 Months 1 Year 3 Years 5 Years Since Inception Entry Exit
Multi Asset
Russell Investments Conservative Fund - Class A 31/10/2000 -1.94% 0.15% 3.09% 0.77% 2.42% 4.97% 0.8845 0.8814
Russell Investments Diversified 50 Fund - Class A 30/11/2000 -2.33% 0.99% 5.16% 2.18% 3.85% 5.56% 1.0038 1.0002
Russell Investments Balanced Fund - Class A 31/10/2000 -2.56% 2.11% 7.75% 3.84% 5.26% 5.88% 0.9862 0.9824
Russell Investments Growth Fund - Class A 31/10/2000 -2.87% 2.82% 9.69% 4.82% 6.23% 6.01% 0.9984 0.9946
Russell Investments High Growth Fund - Class A 31/8/2005 -2.75% 3.83% 12.00% 5.75% 7.32% 6.77% 0.9944 0.9912
Russell Investments Multi-Asset Growth Strategy Fund - Class A 8/10/2014 -1.57% 1.63% 4.61% 2.27% 3.55% 4.34% 1.0156 1.0112
Russell Investments Multi-Asset Growth Strategy Plus Fund - Class A 11/12/2012 -1.77% 2.07% 6.31% 2.45% 3.68% 5.65% 1.0832 1.0785
Russell Investments Multi-Asset Income Strategy Fund - Class A 12/12/2012 -1.26% 0.76% 5.31% 2.77% 3.64% 4.32% 1.0401 1.0366
Alternatives
Russell Investments Global Listed Infrastructure Fund - Hedged - Class A 28/9/2009 -0.81% 3.73% -0.96% 4.49% 3.78% 9.26% 1.2004 1.1970
Australian shares
Russell Investments Australian Shares Fund - Class A 31/12/1997 -2.91% 2.90% 10.70% 7.22% 7.84% 8.41% 2.1458 2.1394
Russell Investments Australian Opportunities Fund - Class A 31/5/2004 -2.24% 2.91% 7.94% 5.58% 6.48% 8.09% 1.3952 1.3882
Russell Investments Low Carbon Australian Shares Fund 8/2/2019 -3.39% 0.98% 8.76% 6.62% 7.89% 8.76% 1.2752 1.2726
Cash
Russell Investments Australian Cash Fund - Class A 30/6/1998 0.37% 1.02% 4.04% 2.00% 1.35% 3.51% 1.0430 1.0430
Fixed Interest
Russell Investments Australian Bond Fund - Class A 31/12/1997 -2.13% -1.27% -0.64% -2.34% -0.44% 4.49% 0.8969 0.8958
Russell Investments International Bond Fund - $A Hedged - Class A 31/12/1997 -2.09% -2.23% -0.89% -4.11% -1.05% 5.07% 0.8253 0.8229
International shares
Russell Investments International Shares Fund - Class A 31/12/1997 -3.04% 5.72% 19.51% 12.16% 11.98% 6.21% 2.7938 2.7868
Russell Investments International Shares Fund - $A Hedged - Class A 31/7/1998 -3.07% 4.74% 17.70% 6.30% 9.19% 6.18% 1.6652 1.6604
Russell Investments Global Opportunities Fund - Class A 31/12/2004 -2.58% 5.88% 16.42% 9.04% 10.22% 8.08% 0.9793 0.9762
Russell Investments Global Opportunities Fund - $A Hedged - Class A 31/12/2008 -2.55% 5.01% 14.88% 3.49% 7.55% 11.02% 0.5649 0.5630
Russell Investments Emerging Markets Fund - Class A 30/4/2007 0.77% 9.77% 10.31% -1.37% 2.57% 3.94% 0.8972 0.8927
Russell Investments Low Carbon Global Shares Fund - Class A 10/10/2017 -2.87% 5.82% 19.36% 9.75% 11.07% 11.48% 1.7611 1.7572
Russell Investments Low Carbon Global Shares Fund - Class AUDH 10/10/2017 -2.82% 4.97% 17.96% 3.99% 8.35% 7.92% 1.6077 1.6036
Russell Investments Tax Effective Global Shares Fund - Class A 8/11/2016 -2.65% 5.56% 17.22% 8.63% 10.67% 12.54% 1.8011 1.7956
Russell Investments Sustainable Global Shares ex Fossil Fuels Fund - Class A - - - - - - - - -
Property
Russell Investments International Property Securities Fund - Hedged - Class A 31/12/2004 -5.86% -2.04% -0.30% -4.69% -1.65% 4.44% 1.1179 1.1147

Past performance is not a reliable indicator of future performance. Performance has been calculated after allowing for tax and investment management expenses. Administration fees are not included in the calculation. Performance for periods longer than 1 year are annualised. The inception date reflects the day the fund was constituted. This information has been prepared for the purpose of providing general information, without taking into account your objectives, financial situation or needs. Before making an investment decision, you need to consider whether this information is appropriate to your objectives, financial situation or needs. Please consult your financial adviser. This information has been compiled from sources considered to be reliable, but is not guaranteed. Any potential investor should consider the relevant PDS in deciding whether to acquire, or continue to hold units in a fund.