Suncorp Investment Funds

Rates are effective from 16 March 2010 but are subject to change without notice.

Unit Prices

Fund  Nil Contribution Fee  Contribution Fee 
Australian Shares 18.3868 1.8594
Balanced 9.4738 0.9438
Growth 13.6865 1.3752
Cash 10.0293 0.0000
Global Shares 5.8444 0.5861
Imputation 10.9058 1.1115
Conservative 10.3629 1.0483
Income 10.2275 1.0291
Property Growth 8.5668 0.8593

Performance

View the latest monthly performance figures (updated monthly) (PDF 164kb)

SIF Financial report

View the Suncorp Investment Funds Financial report

Fund Payment Notice

View the latest fund payment notice.

Product Disclosure Statement

Interests in the Suncorp Investment Funds ("SIFs") are issued by Suncorp Metway Investment Management Limited ABN 31 068 147 651 ("SMIML"), the Responsible Entity of the SIFs. Please read the Product Disclosure Statement (pdf, 1775k) before you make any decision regarding the SIFs. For a copy, contact our Client Services Team on 1800 067 732 from 8am to 5pm (Brisbane time) on Monday to Friday (except public holidays).

 
 
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