Performance figures

as at March 2024

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  • Investment type: Investment products
  • Products: Managed Investment Funds *
 

Distribution Amounts

View our latest annual financial reports and the archived section.

Performance is calculated at the end of the month indicated above. Performance returns shown on this page indicate past performance only. Past performance is no indication of future performance.

 
Managed Investment Funds 1 year % p.a. 2 year % p.a. 3 year % p.a. 5 year % p.a. 7 year % p.a. 10 year % p.a. Since inception Inception date History
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Australian Share Fund 21.92% 5.90% 6.66% 10.42% 10.02% 8.72% 11.00% 21 Apr 1989 History
Balanced Fund 10.00% 4.45% 4.06% 4.75% 4.97% 5.04% 6.41% 17 May 1995 History
CFS Developing Companies Fund 18.51% -4.51% 1.45% 6.29% 5.15% 7.61% 11.85% 01 May 1997 History
CFS Future Leaders Fund 19.01% -0.93% 0.09% 0.40% 3.53% 3.27% 10.74% 13 Apr 1995 History
CFS MIF Geared Global Share 39.82% 13.41% 8.96% 13.26% 13.04% 12.61% 4.41% 04 Sep 2001 History
CFS MIF Strategic Cash 4.59% 3.40% 2.21% 1.52% 1.49% 1.56% 3.40% 15 May 1996 History
Conservative Fund 7.16% 3.24% 2.58% 3.35% 3.67% 3.73% 5.49% 06 May 1993 History
Diversified Fund 12.16% 5.23% 5.66% 6.34% 6.36% 6.35% 7.67% 20 Apr 1989 History
Geared Share Fund 28.42% 7.01% 12.86% 16.25% 14.74% 13.67% 13.56% 16 Aug 1997 History
Global Health & Biotechnology Fund 18.22% 11.32% 9.95% 9.17% 9.91% 12.31% 6.56% 02 May 2000 History
Global Resources Fund 5.03% 0.83% 9.58% 8.71% - - 6.25% 15 May 2018 History
Global Technology & Communications Fund 53.69% 16.49% 12.31% 19.04% 18.39% 18.74% 6.76% 30 Oct 1999 History
High Growth Fund 20.56% 9.41% 10.07% 10.56% 9.58% 9.18% 7.27% 19 Nov 1998 History
Imputation Fund 17.61% 7.04% 9.40% 10.27% 9.65% 7.98% 11.58% 21 Apr 1989 History
Property Securities Fund 36.58% 8.87% 12.17% 7.45% 8.24% 10.22% 7.50% 11 May 1991 History
Stewart Investors MIF Worldwide Leaders Sustainability 20.15% 13.45% 11.58% 11.31% 11.23% 11.02% 5.55% 30 Sep 1997 History
* closed to new investors

^ withdrawn from sale

Δ Historical interest rates and performance for FirstRate Saver and current interest rates for FirstRate Term Deposit are available on the FirstRate interest rates page.

# Hedge Fund unit prices are calculated and declared approximately four to six weeks after each month end. The performance figures for hedge funds shown here are as at the date stated above. This month's hedge funds performance figures will be available to you in four to six weeks time.

## Super and TTR investment options are taxed at a maximum of 15% at the fund level. The other investment options on this page are generally not taxed at the fund level.

†Returns are calculated on a cumulative year-on-year basis which are then annualised. For funds that have been in existence for less than one year, the since inception performance is actual performance since inception and not annualised. Calculations are based on exit price to exit price with distributions reinvested, after ongoing fees and expenses but excluding individual tax, member fees and entry fees (if applicable).

These figures represent past performance only. This information is general information only and does not take into account your individual objectives, financial situation or needs. You should assess whether the information is appropriate for you and consider talking to a financial adviser before making an investment decision. The performance shown for Colonial First State Premier CMT and Colonial First State Cash Management Trust represents the net income paid to unitholders expressed as an earnings rate.

Past performance is no indication of future performance. Avanteos Investments Limited ABN 20 096 259 979, AFSL 245531 (AIL) is the trustee of the Colonial First State FirstChoice Superannuation Trust ABN 26 458 298 557 and issuer of FirstChoice range of super and pension products. Colonial First State Investments Limited ABN 98 002 348 352, AFSL 232468 (CFSIL) is the responsible entity and issuer of products made available under FirstChoice Investments and FirstChoice Wholesale Investments.

This information may include general advice but does not take into account your individual objectives, financial situation, needs or tax circumstances. The Target Market Determinations (TMD) for our financial products can be found at www.cfs.com.au/tmd, which include a description of who a financial product might suit. You should read the relevant Product Disclosure Statement (PDS) and Financial Services Guide (FSG) carefully, assess whether the information is appropriate for you, and consider talking to a financial adviser before making an investment decision. You can get the PDS and FSG at www.cfs.com.au or by calling us on 13 13 36.