Marvin & Palmer Associates - International Shares
Investment objectives and strategies
Outperform the benchmark, which is 100% MSCI Emerging Markets Index in Australian Dollars over rolling three year periods.
Risk / return profile
- High to very high.
Corresponding high returns.
Likelihood of a negative annual return in any one year: one in every three to four years.
Investment is fully exposed to currency fluctuations.
Manager is to invest in emerging countries.
Investment style
Asset mix
|
Range |
Benchmark |
| Growth assets |
|
100% |
| International shares |
- |
100% |
| Defensive assets |
|
0% |

This investment manager may invest a proportion of this option's assets in cash for management purposes from time to time.
|
For past performance information about this option click here.