Zuper Performance

See how our 5 funds have performed
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Zuper Impact

↑ 16.43%

over the year ending 31 December 2019

↑ 6.71%

annualised over the life of the fund - 9 July 2018 to 31 December 2019

Zuper Impact+

↑ 15.34%

over the year ending 31 December 2019

↑ 6.62%

annualised over the life of the fund - 9 July 2018 to 31 December 2019

Zuper Green

↑ 29.21%

over the year ending 31 December 2019

↑ 16.73%

annualised over the life of the fund - 9 July 2018 to 31 December 2019

Zuper Tech

↑ 20.25%

over the year ending 31 December 2019

↑ 6.22%

annualised over the life of the fund - 9 July 2018 to 31 December 2019

Zuper Health

↑ 13.81%

over the year ending 31 December 2019

↑ 6.16%

annualised over the life of the fund - 9 July 2018 to 31 December 2019

Returns are net of fees and taxes. These returns are not a projection. Actual returns may differ, and can be positive or negative. Past performance is not a guide to, or reliable indicator of, future performance. This information does not take your personal objectives, circumstances or needs into account. Before making a decision about Zuper Super, read the Product Disclosure Statement to consider whether it’s right for you.

All material on this website has been prepared by Revtech Media (ABN ABN 75 150 963 474; AFSL 455982), Fund Promoter of Zuper Super. The information contained on our website is general in nature and has been prepared without taking into account your financial objectives, situation or needs. Before making a decision in relation to your super you should read the Zuper Super PDS, speak to a licensed financial professional and consider whether the information is appropriate to you. Further information can be found in the Zuper Super Financial Services Guide (FSG) available here.

Zuper Super is issued by Diversa Trustees Limited (ABN 49 006 421 638), (AFSL No 235153), as trustee of Smartsave ‘Members Choice’ Superannuation Master Plan (ABN 71 603 157 863).

In their role as Fund Promoter, RevTech Media may receive a portion of the management fees of that fund which will be detailed in the relevant Product Disclosure Statement.