Bendigo Conservative Index Fund

A conservative Fund for investors

The Bendigo Conservative Index Fund (Fund) aims to create wealth, by investing in a selection of index funds that seek to track the performance of selected benchmarks for each asset class.

How it works

The Fund’s dynamic asset allocation aims to achieve a better outcome for investors than the static performance benchmark. Its objective is to deliver investment returns after fees in excess of 2% above inflation over any 10-year period.

 

The neutral position of the Fund is 40% growth assets and 60% defensive assets.

 

*In exceptional market conditions the Fund may have asset class allocations outside the stated minimum and maximum for short periods of time.

Asset classMin.*Max.*
Australian shares5%30%
International shares5%35 %
Property & infrastructure0%20%
Fixed interest20%65%
Alternatives0%20%
Cash0%40%

Features

  • Half yearly income distributions
  • Add to your investment at any time (min additional investment $100) or; Regular savings plan available with as little as $50 a month
  • Regular income with moderate capital growth
  • Reputable index managers

 

N.B. Minimum initial investment amount of $50,000

Unit Price

Application $1.3435409
Withdrawal $1.341393
Effective date07/07/2026
Download historical unit prices

Risk profile

  • Medium

 

Recommended investment timeframe

  • Recommended for at least a 3-year investment period.

 

Fees and costs

  • No establishment fee
  • No entry or exit fees
  • No fees for additional contributions
  • Management Fees and Costs: 0.43% p.a.
  • Maximum buy spread: 0.08%

  • Maximum sell spread: 0.08%

  • Transaction costs: 0.01%1

1 Transaction costs are incurred when assets are bought and sold. 

Fund performance

1 Month2.02%
3 Month0.68%
6 Month3.32%
1 Year9.69%
2 Year9.38%
3 Year8.78%
5 Year4.94%
10 Year5.54%
Since Inception6.79%
As At31/05/2026
View latest Fund performance report

*Fund performance figures are calculated before tax and after fees and costs, using withdrawal prices and assumes distributions are reinvested. Past performance in not an indicator of future performance.

Distribution payment as at 30/06/2026

Pre Distribution prices ($)Application1.426881
Net asset value1.425741
Redemption1.4246
Ex Distribution prices ($)Reinvestment1.34275
Redemption1.341676
DistributionCents per unit8.299082
Fund payments*0.007277
Pre Distribution prices ($)
Application1.426881
Net asset value1.425741
Redemption1.4246
Ex Distribution prices ($)
Reinvestment1.34275
Redemption1.341676
Distribution
Cents per unit8.299082
Fund payments*0.007277

* Annualised Fund Payment components are provided solely for the purpose of subdivision 12-H of the Tax Administration Act 1953 and should not be used for any other purpose.

Contact

The team is available on 1800 634 969 Monday to Friday 8:30am to 5:00pm AEST if you have any questions.

 

Alternatively, you can email [email protected].

Things you should know

Other fees and costs may apply. See the Product Disclosure Statement for full details.

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