| Objective | To outperform the UBS Composite Bond Index, after fees, over rolling three year periods by investing in a combination of domestic and global fixed income strategies |
| Fixed Income Strategies | Domestic Fixed Interest Global Credit Interest Rate Overlay Currency Overlay Emerging Debt High Yield |
| Income Potential | High |
| Growth Potential | Low |
| Volatility | Low |
| Benchmark | UBS Composite Bond Index (all maturities) |
| Inception Date | 9 August 2006 New strategy 21 January 2008 |
| Suggested investment period | 3 years or more |
| Entry and exit fee | Nil |
| Minimum investment amount | $20,000 |
| Management Expense Ratio | 0.55% pa (capped), inclusive of GST |
| Buy/Sell Spread | +0.03% on applications and -0.03% on withdrawals |
| APIR Code | MGL0015AU |