Domestic Model Portfolios

Performance to 31 May 2022

Model NameRisk Profile3-month Performance6-month Performance1-year Performance3-year Performance (annualised)5-year Performance (annualised)Since Inception (annualised)
3byTwo CautiousLow-Medium0.00%2.00%8.20%7.80%7.00%6.20%
3byTwo Balanced IncomeMedium-0.70%0.90%6.50%8.90%7.40%6.30%
3byTwo Balanced Reg28Medium-High-0.90%1.30%6.90%9.50%7.10%5.80%
3byTwo Balanced Reg28 PlusHigh-2.80%-0.30%7.20%10.60%8.10%6.80%
3byTwo Long Term GrowthHigh-1.70%0.30%9.40%11.80%7.90%6.30%
3byTwo Long Term Growth FeederHigh-2.80%-8.90%5.40%10.20%10.10%7.50%