RETIREMENT PRODUCTS - NET INVESTMENT PERFORMANCE - 2008/09

RETIREMENT PRODUCTS           

Allocated Pension and Market-linked Income Stream

Net Investment Performance 2008/09 (after deducting fees and applicable taxes)

Trustee's Selection Screened Investment Target Return Cash Australian Shares Overseas Shares Bonds Retirement Selection
Month % % % % % % % %
Jul 08 -1.23 -0.88 0.63 0.24 -5.12 -0.88 1.86 0.01
Aug 08 2.56 2.56 0.76 0.54 4.41 4.69 2.06 1.34
Sep 08 -4.92 -3.91 -0.24 0.60 -10.91 -7.41 1.19 -1.88
Oct 08 -5.498 -5.498 0.916 0.710 -12.797 -9.807 2.001 -1.730
To 14 Nov 08 -3.252 -3.252 0.429 0.308 -6.090 -7.714 1.546 -1.228
Dec 08
Jan 09
Feb 09
Mar 09
Apr 09
May 09
Jun 09
Year to 14 November 2008 Total -11.94 -10.69 2.52 2.42 -27.72 -20.03 8.96 -3.48

Please note:

Figures in Bold are confirmed by the Trustee.

Figures in italics are interim figures only.  The interim monthly rates are revised at least weekly.

Past performance is not a guarantee of future performance.

For more information on how interim net investment performance is determined click here.

Historical rates can be viewed here. Historical rates are also published in Westscheme\\'s Annual Report to Members which can be accessed from Publications/Forms above.