G30

13

P.A.
  • Inception date: 30th September 2025
  • Risk profile: Conservative
  • Timeframe: 3 years +

The portfolio is actively managed within allowable ranges and contains exposure to approximately 70% defensive assets (cash and fixed interest) and 30% growth assets (shares, property, infrastructure and alternatives), depending on market conditions.

Over the medium term the portfolio manager may adjust the portfolio, within allowable ranges, in response to evolving market conditions, economic indicators and valuation signals. The aim is to enhance returns or manage risk by taking into account cyclical trends rather than relying on static long-term assumptions.

30% Growth / 70%Defensive

No. of holdings

20

Minimum number of assets

10

Maximum number of assets

30

Minimum Absolute Asset Position %

1%

Maximum Absolute Asset Position %

20%

Minimum Initial Asset Weight %

2%

Minimum active asset weight change %

0.50%

Portfolio Managers

Our team has decades of experience in Australian multi-asset portfolio management, combining seasoned judgment with adviser-aligned expertise.

Sean Webster
salita-Sean-Webster
Sean Webster

Sean Webster

Head of Research Services & Senior Portfolio Manager

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