The ACC investment fund currently has approximately $40 billion funds under management as at June 2018.
Our investment performance is evaluated by looking at the extent to which ACC’s investments have achieved the objectives of enhancing returns and reducing risk, and how our performance compares with global investment markets’ performance.
We have outperformed market benchmarks for 25 of the past 26 years. To the best of our knowledge, no other investment fund anywhere in the world has ever outperformed market-based benchmarks on such a consistent basis.
We aim to achieve returns after costs greater than 0.30% above the benchmark for our investment portfolio. Our investment management costs are measured as a proportion of total funds under management.