Tax & super
Chant West Super 2018 Pension 2018

My Super News

Meet our winner

16-Sep-2019

Lifelong VISSF member Trish was stunned to find out she was drawn as the winner of a $2,000 super contribution, just for trying the new interactive member statement. We spoke to Trish to hear how she felt after winning and her personal experience of being a VISSF member. Read More

VISSF Super and Pension awarded AAA rating

22-Jul-2019

We are delighted to announce that VISSF has received one of the most coveted ratings in super, a AAA SelectingSuper Quality Assessment for both the VISSF Accumulation and VISSF Pension products. Read More

Accumulation Investment Returns

The investment returns relating to your investment choice are applied to your Member Account as crediting rates after providing for direct and indirect costs, as well as taxes.

Keep in mind, the actual rate of return on your account may be different to the published weekly, annual or long term returns due to rounding and the timing and value of transactions allocated to your account.

Accumulation Returns

Week Ended

All Growth

Balanced

Conservative

Cash

Fund Year to Date

17/10/2019

11.80%

9.83%

6.77%

0.63%

Weekly Investment Returns

17/10/2019

1.75%

1.18%

0.33%

-0.01%

10/10/2019

0.61%

0.45%

0.17%

0.01%

03/10/2019

-1.87%

-1.31%

-0.50%

0.01%

26/09/2019

-0.34%

-0.16%

0.02%

0.01%

19/09/2019

0.74%

0.63%

0.39%

0.02%

12/09/2019

0.93%

0.55%

0.06%

0.00%

05/09/2019

1.47%

1.01%

0.35%

0.01%

29/08/2019

0.23%

0.23%

0.21%

-0.01%

22/08/2019

1.58%

1.16%

0.42%

0.01%

15/08/2019

-1.92%

-1.34%

-0.43%

0.01%

08/08/2019

-1.99%

-1.24%

-0.27%

0.02%

01/08/2019

-0.54%

-0.36%

-0.07%

0.01%

25/07/2019

1.33%

0.97%

0.63%

0.02%

18/07/2019

-0.85%

-0.61%

-0.21%

0.01%

11/07/2019

-0.07%

-0.11%

-0.15%

-0.02%

04/07/2019

1.29%

1.12%

0.63%

0.02%

27/06/2019

-0.78%

-0.68%

-0.30%

0.02%

20/06/2019

1.75%

1.40%

0.82%

0.01%

13/06/2019

1.83%

1.39%

0.74%

0.02%

06/06/2019

0.19%

0.28%

0.22%

0.03%

30/05/2019

-0.96%

-0.66%

-0.18%

0.02%

23/05/2019

0.37%

0.19%

0.17%

0.04%

16/05/2019

0.86%

0.71%

0.36%

0.01%

09/05/2019

-1.29%

-0.95%

-0.28%

0.01%

02/05/2019

-0.26%

-0.14%

-0.04%

0.04%

24/04/2019

1.37%

1.11%

0.71%

0.02%

17/04/2019

0.37%

0.16%

0.04%

0.02%

11/04/2019

-0.17%

-0.08%

0.03%

0.03%

04/04/2019

1.32%

0.93%

0.30%

0.00%

28/03/2019

-0.45%

-0.26%

0.06%

0.02%

21/03/2019

0.37%

0.38%

0.30%

0.03%

14/03/2019

-0.07%

0.12%

0.16%

0.03%

07/03/2019

0.76%

0.54%

0.31%

0.03%

28/02/2019

0.27%

0.16%

0.07%

0.03%

21/02/2019

1.15%

0.90%

0.50%

0.03%

14/02/2019

0.36%

0.32%

0.19%

0.04%

07/02/2019

2.05%

1.48%

0.81%

0.03%

2018/19 Fund Year

Week Ended

All Growth

Balanced

Conservative

Cash

31/01/2019

0.55%

0.53%

0.26%

0.03%

24/01/2019

0.62%

0.52%

0.25%

0.02%

17/01/2019

1.13%

0.91%

0.47%

0.03%

10/01/2019

2.75%

1.99%

0.66%

0.03%

03/01/2019

0.25%

0.26%

0.37%

0.01%

27/12/2018

0.60%

0.37%

0.25%

0.02%

20/12/2018

-3.12%

-2.30%

-0.82%

0.02%

13/12/2018

-0.20%

-0.20%

-0.13%

0.03%

06/12/2018

-1.21%

-0.77%

-0.20%

0.03%

29/11/2018

1.13%

0.91%

0.49%

0.02%

22/11/2018

-1.19%

-0.87%

-0.41%

0.02%

15/11/2018

-2.00%

-1.41%

-0.58%

0.02%

08/11/2018

1.26%

0.87%

0.23%

0.03%

01/11/2018

1.52%

1.01%

0.43%

0.02%

25/10/2018

-2.92%

-1.97%

-0.80%

0.03%

18/10/2018

0.82%

0.62%

0.24%

0.03%

11/10/2018

-4.42%

-3.31%

-1.49%

0.02%

04/10/2018

0.16%

0.06%

0.02%

-0.01%

27/09/2018

0.23%

0.16%

0.16%

0.02%

20/09/2018

0.64%

0.41%

0.07%

0.03%

13/09/2018

0.13%

0.11%

0.03%

0.03%

06/09/2018

-1.73%

-1.22%

-0.51%

0.02%

30/08/2018

1.20%

0.86%

0.34%

0.03%

23/08/2018

0.02%

0.10%

0.10%

0.03%

16/08/2018

-0.40%

-0.27%

0.02%

0.03%

09/08/2018

0.65%

0.52%

0.31%

0.03%

02/08/2018

-0.39%

-0.31%

-0.16%

0.01%

26/07/2018

0.49%

0.37%

0.15%

0.03%

19/07/2018

0.22%

0.19%

0.10%

0.03%

12/07/2018

0.85%

0.66%

0.31%

-0.01%

05/07/2018

0.12%

0.15%

0.12%

0.04%

28/06/2018

-0.60%

-0.41%

-0.11%

0.03%

21/06/2018

1.03%

0.67%

0.39%

0.02%

14/06/2018

-0.03%

0.09%

0.17%

0.03%

07/06/2018

0.98%

0.67%

0.14%

0.02%

31/05/2018

-0.55%

-0.35%

-0.04%

0.03%

24/05/2018

-0.84%

-0.53%

-0.14%

0.02%

17/05/2018

0.03%

-0.08%

-0.13%

0.03%

10/05/2018

1.11%

0.91%

0.44%

0.03%

03/05/2018

1.27%

0.88%

0.44%

0.03%

26/04/2018

0.24%

0.16%

0.00%

0.03%

19/04/2018

1.08%

0.74%

0.20%

0.02%

12/04/2018

0.21%

0.14%

0.13%

0.02%

05/04/2018

0.60%

0.50%

0.17%

0.02%

28/03/2018

-1.48%

-0.95%

-0.31%

0.02%

22/03/2018

-0.48%

-0.46%

-0.20%

0.02%

15/03/2018

0.06%

0.11%

0.10%

0.02%

08/03/2018

0.42%

0.39%

0.15%

0.02%

01/03/2018

0.16%

0.15%

0.21%

0.03%

22/02/2018

0.42%

0.28%

0.16%

0.02%

15/02/2018

1.46%

1.16%

0.49%

0.03%

08/02/2018

-4.16%

-3.30%

-1.48%

0.02%

01/02/2018

0.54%

0.39%

0.24%

0.01%

2017/18 Fund Year

Week Ended

All Growth

Balanced

Conservative

Cash

31/01/2018

-0.59%

-0.50%

-0.25%

0.01%

24/01/2018

0.77%

0.59%

0.25%

0.02%

18/01/2018

-0.19%

-0.12%

-0.09%

0.02%

11/01/2018

0.31%

0.24%

0.11%

0.03%

04/01/2018

0.48%

0.41%

0.27%

0.01%

28/12/2017

0.23%

0.15%

0.04%

0.02%

21/12/2017

0.77%

0.49%

0.16%

0.02%

14/12/2017

0.29%

0.16%

0.00%

0.02%

07/12/2017

-0.01%

-0.01%

0.03%

0.03%

30/11/2017

0.22%

0.24%

0.15%

0.02%

23/11/2017

0.62%

0.50%

0.32%

0.02%

16/11/2017

-0.42%

-0.28%

-0.13%

0.01%

09/11/2017

1.05%

0.77%

0.38%

0.02%

02/11/2017

0.62%

0.55%

0.37%

0.03%

26/10/2017

0.72%

0.57%

0.38%

0.02%

19/10/2017

0.65%

0.44%

0.27%

0.02%

12/10/2017

1.23%

0.85%

0.36%

0.02%

05/10/2017

0.71%

0.64%

0.36%

0.01%

28/09/2017

0.42%

0.33%

0.20%

0.02%

21/09/2017

-0.22%

-0.17%

-0.15%

0.03%

14/09/2017

1.16%

0.84%

0.35%

0.03%

07/09/2017

-0.35%

-0.23%

-0.01%

0.02%

31/08/2017

0.13%

0.14%

0.06%

0.02%

24/08/2017

0.10%

0.11%

0.06%

0.03%

17/08/2017

0.33%

0.23%

0.13%

0.02%

10/08/2017

-0.22%

-0.17%

0.00%

0.01%

02/08/2017

-0.19%

-0.07%

0.03%

0.03%

27/07/2017

0.11%

0.09%

0.09%

0.03%

20/07/2017

0.04%

0.03%

-0.05%

0.02%

13/07/2017

0.30%

0.28%

0.13%

-0.02%

06/07/2017

-0.32%

-0.26%

-0.14%

0.03%

29/06/2017

0.45%

0.12%

-0.07%

0.02%

22/06/2017

-0.12%

-0.03%

0.03%

0.02%

15/06/2017

0.30%

0.20%

0.11%

0.03%

15/06/2017

0.30%

0.20%

0.11%

0.03%

08/06/2017

-0.71%

-0.51%

-0.24%

0.02%

01/06/2017

0.05%

0.16%

0.17%

0.03%

25/05/2017

1.15%

0.93%

0.48%

0.02%

18/05/2017

-1.32%

-0.86%

-0.22%

0.03%

11/05/2017

0.63%

0.48%

0.23%

0.02%

04/05/2017

0.01%

0.03%

0.03%

0.03%

27/04/2017

1.95%

1.43%

0.63%

0.01%

20/04/2017

-0.88%

-0.55%

-0.19%

0.02%

12/04/2017

0.64%

0.49%

0.30%

0.02%

06/04/2017

-0.13%

0.02%

0.10%

0.02%

30/03/2017

1.61%

1.15%

0.62%

0.02%

23/03/2017

-0.68%

-0.44%

-0.13%

0.02%

16/03/2017

0.57%

0.48%

0.33%

0.02%

09/03/2017

-0.31%

-0.31%

-0.19%

0.03%

02/03/2017

0.66%

0.54%

0.29%

0.02%

23/02/2017

0.12%

0.16%

0.14%

0.02%

16/02/2017

1.66%

1.12%

0.39%

0.03%

09/02/2017

0.73%

0.69%

0.45%

0.03%

02/02/2017

0.09%

0.02%

-0.02%

0.01%

2016/17 Fund Year

Week Ended

All Growth

Balanced

Conservative

Cash

25/01/2017

0.65%

0.57%

0.33%

0.01%

19/01/2017

-0.84%

-0.65%

-0.38%

0.02%

12/01/2017

-0.24%

-0.20%

0.02%

0.03%

05/01/2017

0.86%

0.70%

0.36%

0.02%

29/12/2016

0.46%

0.34%

0.23%

0.02%

22/12/2016

1.07%

0.81%

0.40%

0.03%

15/12/2016

0.14%

0.05%

-0.08%

0.02%

08/12/2016

1.50%

1.26%

0.64%

0.02%

01/12/2016

0.02%

-0.02%

-0.02%

0.03%

24/11/2016

1.72%

1.13%

0.33%

0.02%

17/11/2016

0.57%

0.40%

0.11%

0.02%

10/11/2016

2.12%

1.41%

0.42%

0.03%

03/11/2016

-1.79%

-1.35%

-0.54%

0.02%

27/10/2016

-1.36%

-0.97%

-0.44%

0.02%

20/10/2016

0.67%

0.47%

0.15%

0.03%

13/10/2016

-1.08%

-0.83%

-0.43%

0.02%

06/10/2016

0.57%

0.32%

0.15%

0.03%

29/09/2016

0.18%

0.07%

0.15%

0.02%

22/09/2016

1.59%

1.21%

0.59%

0.02%

15/09/2016

-1.88%

-1.50%

-0.80%

0.03%

08/09/2016

0.28%

0.23%

0.04%

0.02%

01/09/2016

-0.60%

-0.34%

-0.13%

0.03%

25/08/2016

0.11%

0.07%

0.06%

0.02%

18/08/2016

0.43%

0.30%

0.17%

0.03%

11/08/2016

0.95%

0.77%

0.48%

0.03%

04/08/2016

-0.97%

-0.72%

-0.29%

0.03%

27/07/2016

0.46%

0.36%

0.21%

0.02%

21/07/2016

1.57%

1.15%

0.53%

0.03%

14/07/2016

3.00%

2.23%

0.96%

0.03%

07/07/2016

-0.35%

-0.21%

0.11%

0.03%

30/06/2016

-1.03%

-0.64%

-0.05%

0.03%

23/06/2016

2.16%

1.52%

0.49%

0.03%

16/06/2016

-3.02%

-2.17%

-0.87%

0.03%

09/06/2016

0.63%

0.48%

0.35%

0.03%

02/06/2016

-0.50%

-0.26%

-0.08%

0.03%

26/05/2016

1.92%

1.55%

0.83%

0.03%

19/05/2016

-0.22%

-0.22%

-0.09%

0.03%

12/05/2016

1.48%

1.13%

0.67%

0.02%

05/05/2016

-0.04%

-0.03%

0.12%

0.04%

28/04/2016

-0.24%

-0.07%

0.07%

0.03%

21/04/2016

1.74%

1.20%

0.60%

0.02%

14/04/2016

2.40%

1.74%

0.73%

0.03%

07/04/2016

-1.29%

-0.88%

-0.24%

0.03%

31/03/2016

-0.42%

-0.17%

0.07%

0.05%

23/03/2016

0.15%

0.08%

-0.01%

0.03%

17/03/2016

0.91%

0.83%

0.48%

0.03%

10/03/2016

0.28%

0.11%

0.00%

0.03%

03/03/2016

3.18%

2.25%

0.89%

0.03%

25/02/2016

-0.53%

-0.20%

0.05%

0.03%

18/02/2016

3.98%

2.94%

1.17%

0.03%

11/02/2016

-3.47%

-2.65%

-1.02%

0.03%

04/02/2016

-1.51%

-1.17%

-0.53%

0.02%

2015/16 Fund Year

Week Ended

All Growth

Balanced

Conservative

Cash

28/01/2016

1.92%

1.39%

0.60%

0.04%

21/01/2016

-2.13%

-1.65%

-0.67%

0.04%

14/01/2016

-1.69%

-1.19%

-0.41%

0.03%

07/01/2016

-4.37%

-3.16%

-1.26%

0.03%

30/12/2015

1.49%

0.96%

0.44%

0.03%

23/12/2015

0.41%

0.31%

0.19%

0.03%

17/12/2015

1.04%

0.79%

0.33%

0.03%

10/12/2015

-2.02%

-1.39%

-0.62%

0.04%

03/12/2015

-0.77%

-0.74%

-0.38%

0.03%

26/11/2015

0.03%

0.12%

0.20%

0.03%

19/11/2015

1.43%

1.06%

0.56%

0.03%

12/11/2015

-1.28%

-1.11%

-0.58%

0.02%

05/11/2015

0.30%

0.21%

0.01%

0.04%

29/10/2015

1.12%

0.95%

0.54%

0.03%

22/10/2015

1.51%

1.20%

0.49%

0.04%

15/10/2015

0.06%

0.05%

0.08%

0.03%

08/10/2015

2.66%

2.06%

0.90%

0.03%

01/10/2015

0.29%

0.20%

0.07%

0.03%

24/09/2015

-1.97%

-1.46%

-0.55%

0.03%

17/09/2015

1.08%

0.74%

0.17%

0.03%

10/09/2015

0.85%

0.50%

0.21%

0.03%

03/09/2015

-1.80%

-1.20%

-0.50%

0.03%

27/08/2015

-1.47%

-1.13%

-0.39%

0.03%

20/08/2015

-1.86%

-1.38%

-0.55%

0.03%

13/08/2015

-2.26%

-1.50%

-0.59%

0.02%

06/08/2015

-0.34%

-0.27%

-0.18%

0.03%

29/07/2015

0.01%

0.06%

0.13%

0.02%

23/07/2015

-0.80%

-0.53%

-0.08%

0.02%

16/07/2015

3.69%

2.74%

1.11%

0.03%

09/07/2015

-1.82%

-1.12%

-0.22%

0.02%

02/07/2015

-0.64%

-0.52%

-0.25%

0.02%

25/06/2015

1.23%

0.81%

0.28%

0.03%

18/06/2015

-0.77%

-0.48%

-0.02%

0.03%

11/06/2015

0.27%

0.11%

0.00%

0.02%

04/06/2015

-2.50%

-1.83%

-1.12%

0.02%

Month Ended

All Growth

Balanced

Conservative

Cash

29-May-15

0.56

0.51

0.08%

0.08

30-Apr-15

-0.64

-0.49

-0.41%

0.12

31-Mar-15

0.48

0.47

0.39%

0.15

28-Feb-15

5.03

3.73

1.90%

0.14

Annual and Long Term Accumulation Returns

When comparing superannuation products, it’s a good idea to consider returns over the long term, as investments can fluctuate in the short term. 

The following table summarises the annual investment returns for the past five years along with long term compound average rates to 31 January 2019. 

Year Ended
31 January

2015
%

2016
%

2017
%

2018
%

2019
%

3 year
compound
average
 %

5 year
compound
average
 %

10 year
compound
average
%

All Growth

12.90

-2.47

16.58

16.27

-1.23

10.21

8.07

10.46

Balanced

11.81

-1.20

12.70

12.87

-0.19

8.28

7.00

9.16

Conservative

8.71

0.47

7.40

7.14

1.30

5.24

4.95

6.48

Cash

1.84

1.58

1.40

1.12

1.21

1.24

1.43

2.16

Defined Benefit

12.04

-0.97

12.98

13.16

0.06

8.56

7.26

9.40

Inflation CPI

1.70

1.70

1.50

1.90

1.80

1.73

1.72

2.14

Chant West Super 2018 Pension 2018

My Super News

Meet our winner

16-Sep-2019

Lifelong VISSF member Trish was stunned to find out she was drawn as the winner of a $2,000 super contribution, just for trying the new interactive member statement. We spoke to Trish to hear how she felt after winning and her personal experience of being a VISSF member. Read More

VISSF Super and Pension awarded AAA rating

22-Jul-2019

We are delighted to announce that VISSF has received one of the most coveted ratings in super, a AAA SelectingSuper Quality Assessment for both the VISSF Accumulation and VISSF Pension products. Read More

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