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| Investment Options |
Investment Objective |
Fact Sheet |
| Cash Fund |
Stable income stream |
Please download the attached PDF for more information on the Fund
Download PDF (152k) |
| Income Fund |
Relatively stable, monthly income stream |
Please download the attached PDF for more information on the Fund
Download PDF (366k) |
| Conservative Fund |
Quarterly income stream while obtaining some level of capital growth over the medium term |
Please download the attached PDF for more information on the Fund
Download PDF (242k) |
| Balanced Fund |
Modest level of capital growth and income over a 5 year investment period |
Please download the attached PDF for more information on the Fund
Download PDF (340k) |
| Growth Fund |
Strong capital growth and some level of income over the long term by investing in Australian and international shares, fixed interest securities and other investments including property trusts |
Please download the attached PDF for more information on the Fund
Download PDF (365k) |
| Imputation Fund |
Long-term capital growth with some tax effective income by investing in a broad selection of Australian companies |
Please download the attached PDF for more information on the Fund
Download PDF (236k) |
| Australian Shares Fund |
Strong capital growth over the long term by investing in leading companies listed on the Australian Stock Exchange |
Please download the attached PDF for more information on the Fund
Download PDF (246k) |
| Property Growth Fund |
Capital growth over the long term by investing in listed property trusts and companies that invest in property |
Please download the attached PDF for more information on the Fund
Download PDF (209k) |
| Global Shares Fund |
Strong long-term capital growth by investing in the global sharemarket |
Please download the attached PDF for more information on the Fund
Download PDF (374k) |
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Product Disclosure Statement
Interests in the Suncorp Investment Funds ("SIFs") are issued by Suncorp Metway Investment Management Limited ABN 31 068 147 651 ("SMIML"), the Responsible Entity of the SIFs. Please read the Product Disclosure Statement (pdf, 1775k) before you make any decision regarding the SIFs. For a copy, contact our Client Services Team on 1800 067 732 from 8am to 5pm (Brisbane time) on Monday to Friday (except public holidays).