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Corporate Super Bond S2


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Unit Prices Header
Corporate Super Bond Series 2DateEntry PriceExit PriceSelect
AXASSP Alternative Balanced*22/08/089.82109.7890
AXASSP Balanced*22/08/0813.732013.6680
AXASSP Cash*22/08/0813.220013.2200
AXASSP Defined Benefit Pension22/08/08470.0500467.9910
AXASSP Defined Benefit Super22/08/08475.0520472.9690
AXASSP Growth*22/08/0813.190013.1210
AXASSP High Growth*22/08/0812.520012.4450
AXASSP Secure*22/08/0813.837013.8090
Fixed Interest22/08/0819.725019.7250
Guaranteed22/08/0817.175017.1750
International22/08/086.83306.8060
Managed22/08/0822.734022.6550
Managed Growth22/08/0820.132020.0030
Multi-Manager Balanced22/08/0823.400023.3020
Multi-Manager Secure22/08/0819.732019.6890
Secure22/08/0815.863015.8310
Secure Growth22/08/0822.650022.5260
Shares22/08/0832.658032.5600
 *Available only for those clients already invested these portfolios
The commencement date for Corporate Super Bond Series 2 was at 1st March 1995.
Unit Prices Footer


The above is provided for information only. It does not constitute an offer or invitation to enter into any legal agreement of any kind, or exercise any rights whatsoever in relation to the offering of any product or units in funds.
This product is now closed. Applications can no longer be made to invest in this product.
These prices do not reflect the full description and conditions in the current PDS. You are advised to read this brochure for the full terms and conditions
All amounts quoted on this page are subject to the provisions described in the Superannuation Industry (Supervision) Act 1993 (SIS), their accompanying Regulations and all associated legistation and regulations.
All amounts quoted are subject to the preservation requirements. If you have not met any condition of release of preserved benefits at a particular time, your benefits will have to remain in the superannuation system.
While every reasonable effort has been made to ensure that the above information is correct in every respect, neither AXA Australia, the Trustee or any member of the National Mutual Group or AXA Group accepts any liability, whether through negligence or otherwise for any error or misprint or delay
The unit prices for each portfolio are declared net of the investment managers fees and gross of all asset charges and fees.


 
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