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Diversified
Fixed Interest

The Diversified Fixed Interest+ investment option is focused on delivering the best net return in a single sector from investing in a portfolio of all defensive assets (Australian and international government bonds and other investment grade debt) and has medium diversification.

At a glance (Accumulation)

Investment time frame
2 years +
Level of investment risk
Low to medium
Likelihood of negative returns
Negative returns expected in between 1 to less than 2 out of every 20 years
Growth/ defensive allocation
0% growth / 100% defensive
Total investment fees and costs*
0.30% p.a.
Return target
CPI p.a. over 20 years
Net return^
2.43%

+ Not available to Maritime Contributory Accumulation members who joined before 1 July 2008 and have not waived their Protected Minimum Benefit.
* Investment costs are based on estimated and actual information from the previous financial year. The costs payable in future years may be higher or lower. Administration and other fees apply. For a full breakdown of fees and costs, see our fees and costs page or Section 6 of the Member Guide.
^ Investment return over 10 years to 31 October 2024, net of investment fees and costs. Administration and other costs apply. Returns won’t display for options younger than 10 years. See the investment returns page for returns over all available periods.

Diverse team of colleagues gathered around a laptop

Who is Diversified Fixed Interest suitable for?  

With all defensive assets, this single sector investment option is designed for members+ with a short-term investment timeframe, who are seeking stable returns and have a low to medium tolerance of negative returns.

Read our Member Guide for more information about these terms.

+ Not available to Maritime Contributory Accumulation members who joined before 1 July 2008 and have not waived their Protected Minimum Benefit.

Our target

asset mix 

Diversified Fixed Interest - Indexed
Asset class  
Target  Range  
Diversified fixed interest  
100%
90-100%
Cash 0%0-10% 

Investment managers may invest a proportion of this option’s assets in cash for management purposes from time to time. 

Head to Member Online to choose the investment option that’s right for you. 

Past
performance 

Accumulation

This table shows the 12-month net return for our Diversified Fixed Interest option at 30 June each year. The net return is the money the investment has earned, minus investment costs and taxes.1  

Year20202021202220232024
Return 3.13%  -0.40%  -7.69%  
0.59%3.20%

This table shows the average net return for our Diversified Fixed Interest option over 3, 5 and 10 years to 30 June 2024.1

Year3 years5 years10 years
Average return (p.a.) -1.41%-0.32%2.47%

1. Administration and other fees also apply. For a full breakdown of fees and costs, see our fees and costs page or Section 6 of the Member Guide. Past performance is not a reliable indicator of future performance and should never be the sole factor considered when selecting a superannuation fund.


Ready to join? Online applications only take five minutes. 

Or call us on 1300 467 875  
8am – 8pm (AEST/AEDT), Monday to Friday.