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yellow square About UsAsset Allocation and Fund Managers: Other Assets


Asset Allocation for Other Assets as at 30 June 2005

The asset allocation for each of the groups of other assets are shown in the chart below. Individual fund managers for each of these asset groups are detailed in the table below.

Asset Allocation for Other Assets

 

Private Equity Sector

Fund Managers
Net Realisable Value (AUD)
Percent of Other Assets
Percent of Total Assets
Private Equity / Agriculture Company of Australia $30,396,767.41 22.58% 3.99%
Total - Private Equity Sector $30,396,767.41 22.58% 3.99%
 

Absolute Return Sector

Fund Managers
Net Realisable Value (AUD)
Percent of Other Assets
Percent of Total Assets
Warrakirri Absolute Return Fund $20,970,381.13 15.58% 2.75%
BGI Total Return Multi-Opportunity Fund $12,506,419.30 9.29% 1.64%
SMHL Origination Fund No. 3 $1,102,394.49 0.82% 0.14%
Total - Absolute Return Sector $34,579,194.92 25.69% 4.54%
 

Inflation Linked Bonds Sector

Fund Managers
Net Realisable Value (AUD)
Percent of Other Assets
Percent of Total Assets
CFS Australian Inflation Linked Bond Fund $54,476,388.64 40.47% 7.14%
Total - Inflation Linked Bonds Sector $54,476,388.64 40.47% 7.14%
 

High Yield & Emerging Markets Debt Sector

Fund Managers
Net Realisable Value (AUD)
Percent of Other Assets
Percent of Total Assets
PIMCO Extended Markets Fund $14,450,010.26 10.73% 1.90%
Total - High Yield & Emerging Markets Debt Sector $14,450,010.26 10.73% 1.90%
 

Miscellaneous Assets Sector

Fund Managers
Net Realisable Value (AUD)
Percent of Other Assets
Percent of Total Assets
Macquarie Prism Investments $700,533.99 0.52% 0.09%
United Customer Management $4,585.04 0.00% 0.00%
Total - Miscellaneous Assets Sector $705,119.03 0.52% 0.09%
Total - All Other Assets $134,607,480.26
100.00% 17.65%

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View the asset allocation for Other assets as at 30 June 2006 >>

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