About these update notices

We may change any of the matters about the fund as described in a Product Disclosure Statement (PDS), Reference Guide, Member Booklet or Supplement, as applicable to your account type, from time to time. If a change adversely affects you,we will notify you as required by law. If a change is not materially adverse,we may not update that document but instead issue an update notice, either before or after the change occurs. Any update notices that have been issued will be provided below, or you can contact us for a copy. It’s possible that changes can occur in the future, which may be without prior notice to you.

Update notices for Accumulate Plus

  • Issued 4 July 2019, relating to changes in the estimated investment-related fees and costs for all investment options, as well as a change in measure of investment risk for the Fixed Interest option, from 1 July 2019.
  • Issued 9 May 2019, relating to a change in one of the manager benchmarks that makes up the composite benchmark for the Fixed Interest single asset class investment option.
  • Issued 17 July 2018, relating to changes in the estimated investment-related fees and costs for all investment options, as well as a change in measure of investment risk for the Fixed Interest option, from 1 July 2018.

 

Update notices for Retirement Access

  • Issued 4 July 2019, relating to changes in the estimated investment-related fees and costs for all investment options, as well as a change in measure of investment risk for the Fixed Interest option, from 1 July 2019.
  • Issued 17 July 2018, relating to changes in the estimated investment-related fees and costs for all investment options from 1 July 2018.

 

Update notices for Defined Benefits

  • Issued 9 August 2018, relating to changes in the estimated investment-related fees and costs for all investment options from 1 July 2018 – applies only to members with accumulation-style accounts within their DB division that are eligible for investment choice.