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Master trusts give good returns

The latest Eriksen and Associates master trust survey shows that good returns abound.

Friday, November 24th 2000, 7:29AM

The average annual rate of return net of fees and tax has jumped to 11.3% for the master trust funds surveyed. This is 3% pa over the rate reported last quarter. Although inflation has risen to 3% it is a superb real rate of return.

The range of returns was also spectacular. There was generally a reward for increased risk with the growth funds averaging 15%, the balanced funds 11% and the conservative funds almost 6%. The best return for the year was 32.90% and the worst 2.8%.

Once again international equities performed extremely well coupled with a further fall in the exchange rate. Growth managers are still out-performing value managers but some stock-pickers with a value style came back reasonably well.

Tower, Colonial (formally Prudential) and the Global Retirement Trust are the fastest growing funds. The Global Retirement Trust predominately services publicsSector employers, but has very competitive fees and a range of individual member options as well.

Master Trust Survey

Results to 30 September 2000

Fund Name

Fund Size

Annual Returns (Net of Tax & Expenses)

No of

 

$ million

1 Year

2 Year

3 Year

4 Year

5 Year

Employers

Growth Funds

 

 

 

 

 

 

 

Colonial International Equities

0.8

32.9

22.8

15.3

14.3

13.1

 

AMP High Equity

125.2

20.3

20.9

12.6

13.9

12.2

531

Colonial Special Values

6.1

19.7

13.6

8.5

10.0

10.0

 

Jacques Martin Growth Fund

48.1

18.5

18.2

11.9

12.6

11.4

122

Tower BT Managed Growth

1.9

14.6

11.7

7.4

9.1

9.1

30

GRT Individual Retirement Plan Growth

8.8

14.2

15.4

9.9

11.1

10.0

 

Tower BNZ Dynamic Growth

0.4

13.6

8.3

 

 

 

6

WestpacTrust Dynamic

218.4

12.4

10.7

7.7

8.7

7.6

 

Jacques Martin Asset Growth

15.8

12.3

9.8

 

 

 

122

Tower Focus International Shares

16.3

12.1

13.0

9.9

12.5

11.4

145

Colonial Australasian Equities

0.2

12.1

14.6

2.5

5.7

5.8

 

Tower Focus NZ Shares

4.7

10.6

13.8

2.6

6.6

7.6

140

Tower ANZ Growth

0.8

9.0

5.5

 

 

 

19

All Growth Funds

447.4

15.4

14.6

9.7

10.8

9.6

 

Balanced Funds

 

 

 

 

 

 

 

AXA NZ Spread Managers

69.7

16.2

11.0

6.6

9.0

7.8

 

Colonial Balanced Growth

12.7

16.0

11.6

7.6

8.5

8.4

 

AMP Balanced

351.3

13.2

12.4

8.4

9.6

8.8

684

AMP BT

24.5

13.0

10.5

6.7

8.3

8.4

319

AXA NZ Managed

30.3

10.7

10.4

5.3

8.3

7.0

 

Tower BNZ Balanced Growth

1.1

10.4

6.1

 

 

 

12

Armstrong Jones SIL Balanced

381.6

10.3

10.2

8.3

10.0

9.7

21

Jacques Martin Balanced

100.1

10.2

9.6

7.4

8.3

7.8

122

GRT Individual Retirement Plan Balanced

16.9

10.2

10.4

7.9

8.9

8.2

 

Royal & Sun Alliance Managed Fund

 

10.1

9.8

6.8

8.4

7.8

 

WestpacTrust Balanced

370.4

9.9

8.9

6.6

7.3

6.5

 

AMP ANZ Balanced

58.3

8.7

9.3

6.2

7.6

7.6

430

AXA NZ Balanced

27.3

8.2

8.2

4.6

7.4

6.6

 

Tower Investment Linked

85.0

7.9

7.3

6.6

8.3

8.0

190

Tower ANZ Market Balanced

0.2

6.7

4.3

 

 

 

19

AMP AJ Balanced

2.8

 

 

 

 

 

77

All Balanced Funds

1,532.2

11.0

10.2

7.4

8.8

8.2

 

Conservative Funds

 

 

 

 

 

 

 

Jacques Martin Capital Stable

43.8

8.4

7.2

6.7

7.1

6.8

122

AMP Capital Stable

42.7

7.9

7.1

5.7

6.4

6.3

252

AXA NZ Low Risk

24.1

7.7

7.2

4.4

6.9

6.6

 

GRT Individual Retirement Plan Stable

2.7

7.1

6.4

6.3

7.1

6.7

 

Colonial Conservative

3.0

4.9

4.5

4.4

4.4

4.6

 

AMP Capital Assured

38.7

4.6

4.7

4.9

4.9

4.7

227

Jacques Martin Cash Management

5.6

4.5

3.0

4.0

4.5

4.7

122

Tower Focus Fixed Income

4.5

4.1

2.8

4.3

5.4

5.2

103

Royal & Sun Alliance Deposit Fund

 

4.0

3.7

4.2

4.5

4.7

 

Tower ANZ Capital Stable

0.1

3.8

2.9

 

 

 

2

Tower Focus Cash

2.8

3.6

3.2

3.8

4.2

4.6

97

AXA NZ Capital Protected

23.6

3.5

4.0

4.2

4.2

4.2

 

WestpacTrust Accumulation

48.8

3.1

3.5

4.4

4.5

4.6

 

Tower BNZ Conservative

 

3.0

1.8

 

 

 

3

Colonial Global Fixed Interest

0.3

2.8

2.3

4.6

5.3

5.8

 

All Conservative Funds

240.5

5.8

5.4

5.1

5.6

5.5

 

Total Funds

2,220.2

11.3

10.6

7.6

8.8

8.2

 

Cash Benchmark (Net)

 

4.2

3.6

4.2

4.6

4.9

 

CPI

 

3.0

1.2

1.4

1.3

1.5

 

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