Diversified Funds

Officium Assertive Fund

The Officium Assertive Fund assumes more risk, increasing the possibility of negative returns, in exchange for potentially higher returns over the medium to long term (four years plus). The Fund will be managed by Officium Capital and will invest into other managed funds, giving the Fund exposure to a diversified range of asset classes.


Assertive - Potential vs Risk

Performance Summary

Since Inception p.a. (30-Sep-2005) 1.84%  
Fund Assets (million) $17.50 31-July-2010
1 Year 9.59% 31-July-2010
2 Year -0.51% 31-July-2010
3 Year -5.00% 31-July-2010
1 Month 0.36% 31-July-2010
Profitable Months 67.80% 31-July-2010
Distribution $0.0120 30-June-2010
Application Unit Price 0.8690 31-Aug-2010
Withdrawal Unit Price 0.8652 31-Aug-2010
Net Asset Value Unit Price 0.8671 31-Aug-2010


Please note that the information contained here is of a general nature only and has been prepared without taking account of your objectives, financial situation or needs. Accordingly you should consider the appropriateness of this information, having regard to those matters, before investing. A Product Disclosure Statement (PDS) describing the Officium Assetive Fund is available on this web page. You should obtain and consider the PDS before making any decision about a product.