Vanguard conservative index fund apir code

31 Aug 2016 fund data, please scan the QR code below. Vanguard Conservative Index Fund. Fact sheet | 31 August 2016. Asset allocation1 (%). Fund. 1 Nov 2018 Index Fund (Fund) ARSN 101 565 351 ABN 24 396 176 911 APIR® Code VAN0109AU. Vanguard is the responsible entity of the Fund. Vanguard International Credit Securities Index Fund (Hedged). 3. Vanguard Global Vanguard Conservative Index. 11. Vanguard Index Fund. APIR Code.

227263 (Vanguard, we, us or our), and is a summary of significant information relating to the Vanguard Conservative. Index Fund (Fund) ARSN 101 565 351 ABN 24 396 176 911 APIR® Code VAN0109AU. Vanguard is the responsible. entity of the Fund. The Fund seeks to match the weighted average return of the target indexes of each of the underlying Vanguard Index Funds in which it invests, before taking into account Fund fees and expenses. Fund Strategy Vanguard Wholesale Conservative Index. The Fund seeks to track the weighted average return of the various indices of the underlying funds in which the Fund invests in proportion to the Strategic Asset Allocation The Fund's strategic allocation reflects a 30% allocation to growth assets and a 70% allocation to income assets. Vanguard Global Aggregate Bond Index Fund (Hedged) 1 Apr 2019 618 350 539 14 933 513 845 VAN9309AU Vanguard International Credit Securities Index Fund (Hedged) 1 Apr 2019 095 366 055 15 118 646 737 VAN0106AU Vanguard International Fixed Interest Index Fund (Hedged) 1 Apr 2019 090 940 337 59 108 266 812 VAN0103AU Vanguard LifeStrategy Conservative Growth (VSCGX): The asset allocation for this fund is approximately 40% stocks and 60% bonds. This allows for slow but steady growth over the long term, which makes for a good conservative fund. VSCGX has been able to average over 4% annualized return of the long term. Vanguard Conservative Index Fund Fact sheet | 31 January 2020 Generation Life | genlife.com.au Fund facts Asset class Diversified - conservative Inception date 02 August 2016 Investment menu code UF12C APIR code ALL0034AU Investment management cost (ICR)1 0.29%p.a. Buy/sell spread 0.10% / % Suggested minimum Vanguard Conservative Index Fund 1 Nov 2018 101 565 351 24 396 176 911 VAN0109AU Cash fund Issue date ARSN ABN APIR Code Vanguard Investor Cash Plus Fund 1 Nov 2018 090 995 887 64 380 598 371 VAN0100AU Asset sector index funds

The Fund seeks to track the weighted average return of the various indices of the underlying funds in which the Fund invests in proportion to the Strategic Asset 

227263 (Vanguard, we, us or our), and is a summary of significant information relating to the Vanguard Conservative. Index Fund (Fund) ARSN 101 565 351 ABN 24 396 176 911 APIR® Code VAN0109AU. Vanguard is the responsible. entity of the Fund. The Fund seeks to match the weighted average return of the target indexes of each of the underlying Vanguard Index Funds in which it invests, before taking into account Fund fees and expenses. Fund Strategy Vanguard Wholesale Conservative Index. The Fund seeks to track the weighted average return of the various indices of the underlying funds in which the Fund invests in proportion to the Strategic Asset Allocation The Fund's strategic allocation reflects a 30% allocation to growth assets and a 70% allocation to income assets. Vanguard Global Aggregate Bond Index Fund (Hedged) 1 Apr 2019 618 350 539 14 933 513 845 VAN9309AU Vanguard International Credit Securities Index Fund (Hedged) 1 Apr 2019 095 366 055 15 118 646 737 VAN0106AU Vanguard International Fixed Interest Index Fund (Hedged) 1 Apr 2019 090 940 337 59 108 266 812 VAN0103AU Vanguard LifeStrategy Conservative Growth (VSCGX): The asset allocation for this fund is approximately 40% stocks and 60% bonds. This allows for slow but steady growth over the long term, which makes for a good conservative fund. VSCGX has been able to average over 4% annualized return of the long term. Vanguard Conservative Index Fund Fact sheet | 31 January 2020 Generation Life | genlife.com.au Fund facts Asset class Diversified - conservative Inception date 02 August 2016 Investment menu code UF12C APIR code ALL0034AU Investment management cost (ICR)1 0.29%p.a. Buy/sell spread 0.10% / % Suggested minimum

The Fund seeks to match the weighted average return of the target indexes of each of the underlying Vanguard Index Funds in which it invests, before taking into account Fund fees and expenses. Fund Strategy

Vanguard Conservative Index Fund seeks to track the weighted average return of the APIR: VAN0109AU; ARSN code: 101 565 351 The Fund targets a 70% allocation to income asset classes and a 30% allocation to growth asset classes. The Fund seeks to track the weighted average return of the various indices of the underlying funds in which the Fund invests in proportion to the Strategic Asset 

Vanguard International Credit Securities Index Fund (Hedged). 3. Vanguard Global Vanguard Conservative Index. 11. Vanguard Index Fund. APIR Code.

31 Aug 2016 fund data, please scan the QR code below. Vanguard Conservative Index Fund. Fact sheet | 31 August 2016. Asset allocation1 (%). Fund. 1 Nov 2018 Index Fund (Fund) ARSN 101 565 351 ABN 24 396 176 911 APIR® Code VAN0109AU. Vanguard is the responsible entity of the Fund. Vanguard International Credit Securities Index Fund (Hedged). 3. Vanguard Global Vanguard Conservative Index. 11. Vanguard Index Fund. APIR Code. Fund: Vanguard Balanced Index Fund. Index: Morningstar Aus Msec Balanced TR AUD. Category: Multisector Responsible Entity, Vanguard Investments Australia Ltd. Fund Manager, Vanguard APIR Code, VAN0108AU. Legal Type   Loading performance chart Name. iShares Wholesale Australian Equity Index Fund (UF11) Name. Vanguard Conservative Index Fund (UF12C). Investment  Fund Name, Vanguard Diversified Conservative ETF. Responsible Entity, Vanguard Investments Australia Ltd. APIR Code. Sector/Asset Class, Multisector   Investment Funds Multiplier. Effective From 01-Mar-20. Standard. LVR. Code. Security Name. Restricted Index ETF. 75%. 75%. 100%. VDBA. Vanguard Diversified Balanced. Index ETF. 75%. 75%. 100% APIR Code. Security Name.

Product Disclosure Statement | 1 November 2018 Vanguard Investor Funds This Product Disclosure Statement (PDS) is for the Vanguard Investor Funds (Funds) listed in the table below.This PDS is issued by Vanguard Investments Australia Ltd ABN 72 072 881 086 AFSL 227 263 (Vanguard, we, us or our), the

Learn more about this managed fund including fund information, strategy, asset allocation & performance. Find out Vanguard International Shares Index - Managed Fund APIR Code, VAN0003AU InvestSMART Conservative, 4.96% . 5 Dec 2018 Vanguard Conservative Index Fund subsidiary of the ASX listed Magellan Financial Group (ASX code: Index Fund APIR VAN0111AU. 14 Jun 2019 APIR Code. Managed ROBECO EMERGING CONSERVATIVE EQUITY FUND MLC VANGUARD AUSTRALIAN SHARES INDEX FUND.

1 Nov 2018 Index Fund (Fund) ARSN 101 565 351 ABN 24 396 176 911 APIR® Code VAN0109AU. Vanguard is the responsible entity of the Fund.