PORTFOLIOS

portfolios_synergy_header
Find out
your risk
profile

The 70/30 portfolio invests in a diversified portfolio of domestic and international bonds, investment grade corporate and sovereign debt issues, Australasian and international equities, property assets and cash.

70% Growth
30% Income

Suitable for investors with a time horizon of at least 9 years before spending large amounts of their portfolio. This portfolio is appropriate for those seeking a higher degree of volatility in order to achieve higher potential portfolio growth.

synergyinvestments-portfoliodiagrams_70-30

Cash and Cash
Equivalents
New Zealand
Fixed Interest
International
Fixed Interest
Listed
Property
Australasian
Equities
International
Equities

PORTFOLIO
BREAKDOWN

ASSET COUNTRY OF ORIGIN ASSET TYPE 70/30
Harbour NZ Equity Advanced Beta Fund New Zealand Australasian equities 11.09
BlackRock Indexed Australian Equity Fund Australia Australasian equities 1.85
Dimensional Australian Small Company Trust Australia Australasian equities 1.11
Dimensional Australian Value Trust Australia Australasian equities 4.44
Dimensional Global Core Equity Trust (NZD) Australia International
equities
25.76
Dimensional Global Small Company Trust Australia International
equities
3.12
Dimensional Global Value Trust Australia International
equities
12.50
BlackRock Indexed Emerging Markets IMI Equity Fund Australia International
equities
3.15
Dimensional Emerging Markets Trust Australia International
equities
4.73
Dimensional Global Real Estate Trust Australia Listed Property 2.25
Harbour NZ Corporate Bond Fund New Zealand New Zealand
fixed interest
7.00
Dimensional Five-Year Diversified Fixed Interest Trust (NZD) Australia International
fixed interest
10.50
Dimensional Global Bond Trust (NZD) Australia International
fixed interest
10.50
Cash New Zealand Cash and Cash Equivalents 2.00
Total 100