Superannuation (PSSAP) Unit Pricing Determination 2005

I, Leonie McCracken, Head of Investment Operations, make this Determination under Rules 5.2.1, 5.4.2 and 5.4.3 of the Rules for the Administration of the Public Sector Superannuation Accumulation Plan set out in the Schedule to the Trust Deed made under section 10 of the Superannuation Act 2005.

Dated  27 July  2005

LJMcCracken

 

Delegate of the PSS Board

Part 1 Preliminary

Dodelete : Divisaceholder

1 Name of Determination

  This Determination is the Superannuation (PSSAP) Unit Pricing Determination 2005.

2 Commencement

  This Determination commences on 27 July 2005.

3 Interpretation

 (1) In this Determination:

actuarial report” means the report titled “Public Sector Superannuation Scheme — Accumulation Plan (Unitisation 30 June 2005 Report)prepared for the PSS/CSS Boards and dated 27 June 2005.

PSSAP member” means a member of the Public Sector Superannuation Accumulation Plan.

“relevant unit” means each unit that makes up a PSSAP member’s interest in the Public Sector Superannuation Accumulation Plan.

Note   An interest in the Public Sector Superannuation Accumulation Plan is valued in units. Contributions made to the Plan, and other amounts transferred in, are used to buy units in the investment option or options chosen by a PSSAP member.

A record is kept of all units held by a PSSAP member: this is the member’s personal accumulation account.

“Rules” means the Rules for the Administration of the Public Sector Superannuation Accumulation Plan set out in the Schedule to the Trust Deed.

“Trust Deed” means the Trust Deed mentioned in section 10 of the Superannuation Act 2005.

 (2) Words and expressions defined in the Rules and this Determination have the meaning given by the Rules.

Note   Words and expressions defined in the Act and this Determination have the meaning given by the Act.

Part 2 Unit prices

Dodelete : Divisaceholder

4 Buy prices and sell prices of relevant units

 (1) For the purposes of ascertaining the value of a relevant unit, buy and sell prices are set out in Schedules 1 and 2.

Note 1   Under the system of creating units in the Public Sector Superannuation Accumulation Plan, the fund earnings or losses on a PSSAP member’s personal accumulation account are reflected in the value of each relevant unit in that account. This is expressed as a “buy price” and a “sell price” for the relevant unit. The unitisation system is explained in the actuarial report.

Note 2   Schedule 1 covers the initial period of the PSSAP Scheme, commencing on 1 July 2005. The last buy and sell prices in that Schedule will apply until the first buy and sell prices are specified in Schedule 2.

A buy price and sell price are not necessarily determined for each day, so the Schedules do not refer to weekends and may not refer to other days such as bank holidays.

 (2) The buy prices and sell prices must be applied in relation to the relevant unit in accordance with the actuarial report.

 (3) The buy and sell prices for the last day specified in Schedule 1 apply to every subsequent day until the first buy or sell price is specified in Schedule 2.

 (4) A buy or sell price specified in Schedule 2 for a particular day applies to every subsequent day until another buy or sell price is specified in that Schedule.

Schedule 1 Buy price and sell price

(subsection 4 (1))

 

Item

Date

Investment Option

Buy price

$

Sell price

$

1

1 July 2005

Conservative

1.001318

0.998818

 

 

Balanced 50/50

1.002619

0.998517

 

 

Trustee Choice

1.003053

0.998549

 

 

Aggressive

1.003633

0.998728

 

 

Cash

1.000143

1.000143

 

 

Bonds / Fixed Interest

1.000461

0.998362

 

 

Australian shares

1.000167

0.996175

 

 

International shares (unhedged)

1.015584

1.009913

 

 

International shares (hedged)

1.006779

1.001157

 

 

Property

1.004152

0.996150

 

 

Sustainable

1.002980

0.996980

 

 

 

 

 

2

4 July 2005

Conservative

1.001267

0.998767

 

 

Balanced 50/50

1.002797

0.998694

 

 

Trustee Choice

1.003845

0.999338

 

 

Aggressive

1.004777

0.999866

 

 

Cash

1.000511

1.000511

 

 

Bonds / Fixed Interest

0.999021

0.996925

 

 

Australian shares

1.001927

0.997928

 

 

International shares (unhedged)

1.015630

1.009959

 

 

International shares (hedged)

1.007844

1.002216

 

 

Property

1.004541

0.996537

 

 

Sustainable

1.002920

0.996920


Item

Date

Investment Option

Buy price

$

Sell price

$

3

5 July 2005

Conservative

1.001974

0.999472

 

 

Balanced 50/50

1.004121

1.000012

 

 

Trustee Choice

1.006089

1.001572

 

 

Aggressive

1.007941

1.003015

 

 

Cash

1.000640

1.000640

 

 

Bonds / Fixed Interest

0.998241

0.996147

 

 

Australian shares

1.005156

1.001144

 

 

International shares (unhedged)

1.031308

1.025549

 

 

International shares (hedged)

1.011741

1.006091

 

 

Property

1.004677

0.996672

 

 

Sustainable

1.002900

0.996900

 

 

 

 

 

4

6 July 2005

Conservative

1.001237

0.998737

 

 

Balanced 50/50

1.003055

0.998951

 

 

Trustee Choice

1.004027

0.999519

 

 

Aggressive

1.005038

1.000125

 

 

Cash

1.000750

1.000750

 

 

Bonds / Fixed Interest

0.998867

0.996772

 

 

Australian shares

0.999272

0.995282

 

 

International shares (unhedged)

1.027687

1.021948

 

 

International shares (hedged)

1.010065

1.004425

 

 

Property

1.004794

0.996787

 

 

Sustainable

1.002880

0.996880

 

 

 

 

 


Item

Date

Investment Option

Buy price

$

Sell price

$

5

7 July 2005

Conservative

0.999961

0.997464

 

 

Balanced 50/50

1.001234

0.997137

 

 

Trustee Choice

1.000890

0.996396

 

 

Aggressive

1.000708

0.995817

 

 

Cash

1.000879

1.000879

 

 

Bonds / Fixed Interest

0.999211

0.997115

 

 

Australian shares

0.990652

0.986697

 

 

International shares (unhedged)

1.026569

1.020837

 

 

International shares (hedged)

1.007097

1.001473

 

 

Property

1.004931

0.996923

 

 

Sustainable

1.002860

0.996860

 

 

 

 

 

6

8 July 2005

Conservative

1.001007

0.998508

 

 

Balanced 50/50

1.003076

0.998972

 

 

Trustee Choice

1.003171

0.998667

 

 

Aggressive

1.003793

0.998887

 

 

Cash

1.000993

1.000993

 

 

Bonds / Fixed Interest

0.999557

0.997460

 

 

Australian shares

0.989793

0.985842

 

 

International shares (unhedged)

1.032612

1.026845

 

 

International shares (hedged)

1.016111

1.010436

 

 

Property

1.005052

0.997043

 

 

Sustainable

1.002840

0.996840

 

 

 

 

 


Item

Date

Investment Option

Buy price

$

Sell price

$

7

11 July 2005

Conservative

1.002592

1.000089

 

 

Balanced 50/50

1.005386

1.001273

 

 

Trustee Choice

1.007046

1.002524

 

 

Aggressive

1.009062

1.004130

 

 

Cash

1.001362

1.001362

 

 

Bonds / Fixed Interest

0.998801

0.996706

 

 

Australian shares

0.997859

0.993875

 

 

International shares (unhedged)

1.036867

1.031077

 

 

International shares (hedged)

1.021782

1.016076

 

 

Property

1.005442

0.997430

 

 

Sustainable

1.002779

0.996781

 

 

 

 

 

8

12 July 2005

Conservative

1.002239

0.999737

 

 

Balanced 50/50

1.005114

1.001001

 

 

Trustee Choice

1.006820

1.002299

 

 

Aggressive

1.008782

1.003851

 

 

Cash

1.001490

1.001490

 

 

Bonds / Fixed Interest

0.998092

0.995999

 

 

Australian shares

0.997220

0.993239

 

 

International shares (unhedged)

1.029716

1.023966

 

 

International shares (hedged)

1.022182

1.016474

 

 

Property

1.005577

0.997565

 

 

Sustainable

1.002759

0.996761

 

 

 

 

 


Item

Date

Investment Option

Buy price

$

Sell price

$

9

13 July 2005

Conservative

1.002889

1.000384

 

 

Balanced 50/50

1.006162

1.002045

 

 

Trustee Choice

1.008784

1.004255

 

 

Aggressive

1.011538

1.006593

 

 

Cash

1.001605

1.001605

 

 

Bonds / Fixed Interest

0.997302

0.995210

 

 

Australian shares

1.001593

0.997594

 

 

International shares (unhedged)

1.038584

1.032784

 

 

International shares (hedged)

1.024485

1.018764

 

 

Property

1.005700

0.997686

 

 

Sustainable

1.002739

0.996741

 

 

 

 

 

10

14 July 2005

Conservative

1.003804

1.001297

 

 

Balanced 50/50

1.007397

1.003275

 

 

Trustee Choice

1.011905

1.007361

 

 

Aggressive

1.014022

1.009065

 

 

Cash

1.001733

1.001733

 

 

Bonds / Fixed Interest

0.997452

0.995359

 

 

Australian shares

1.005992

1.001976

 

 

International shares (unhedged)

1.035163

1.029382

 

 

International shares (hedged)

1.027125

1.021389

 

 

Property

1.005834

0.997820

 

 

Sustainable

1.002719

0.996721

 

 

 

 

 


Item

Date

Investment Option

Buy price

$

Sell price

$

11

15 July 2005

Conservative

1.003920

1.001413

 

 

Balanced 50/50

1.007470

1.003348

 

 

Trustee Choice

1.013714

1.009162

 

 

Aggressive

1.013779

1.008824

 

 

Cash

1.001859

1.001859

 

 

Bonds / Fixed Interest

0.997918

0.995825

 

 

Australian shares

1.004990

1.000978

 

 

International shares (unhedged)

1.038050

1.032253

 

 

International shares (hedged)

1.027125

1.021389

 

 

Property

1.005968

0.997952

 

 

Sustainable

1.002699

0.996701

 

 

 

 

 

12

18 July 2005

Conservative

1.003956

1.001450

 

 

Balanced 50/50

1.007288

1.003166

 

 

Trustee Choice

1.013639

1.009087

 

 

Aggressive

1.013484

1.008530

 

 

Cash

1.002228

1.002228

 

 

Bonds / Fixed Interest

0.997848

0.995755

 

 

Australian shares

1.007135

1.003115

 

 

International shares (unhedged)

1.032033

1.026270

 

 

International shares (hedged)

1.024374

1.018654

 

 

Property

1.006359

0.998340

 

 

Sustainable

1.002639

0.996641

 

 

 

 

 


Item

Date

Investment Option

Buy price

$

Sell price

$

13

19 July 2005

Conservative

1.003858

1.001351

 

 

Balanced 50/50

1.007560

1.003438

 

 

Trustee Choice

1.014106

1.009553

 

 

Aggressive

1.013686

1.008731

 

 

Cash

1.002356

1.002356

 

 

Bonds / Fixed Interest

0.997590

0.995497

 

 

Australian shares

1.002293

0.998292

 

 

International shares (unhedged)

1.037903

1.032107

 

 

International shares (hedged)

1.029500

1.023750

 

 

Property

1.006495

0.998475

 

 

Sustainable

1.002619

0.996621

 

 

 

 

 

14

20 July 2005

Conservative

1.005292

1.002782

 

 

Balanced 50/50

1.009315

1.005185

 

 

Trustee Choice

1.017338

1.012771

 

 

Aggressive

1.017112

1.012141

 

 

Cash

1.002479

1.002479

 

 

Bonds / Fixed Interest

0.998163

0.996069

 

 

Australian shares

1.008743

1.004716

 

 

International shares (unhedged)

1.035815

1.030031

 

 

International shares (hedged)

1.032485

1.026720

 

 

Property

1.006625

0.998604

 

 

Sustainable

1.002599

0.996601

 

 

 

 

 


Item

Date

Investment Option

Buy price

$

Sell price

$

15

21 July 2005

Conservative

1.005875

1.003363

 

 

Balanced 50/50

1.009932

1.005799

 

 

Trustee Choice

1.019447

1.014870

 

 

Aggressive

1.019312

1.014330

 

 

Cash

1.002604

1.002604

 

 

Bonds / Fixed Interest

0.997477

0.995385

 

 

Australian shares

1.018307

1.014242

 

 

International shares (unhedged)

1.025814

1.020085

 

 

International shares (hedged)

1.029326

1.023577

 

 

Property

1.006757

0.998735

 

 

Sustainable

1.002579

0.996581

 

 

 

 

 

16

22 July 2005

Conservative

1.007273

1.004758

 

 

Balanced 50/50

1.011475

1.007337

 

 

Trustee Choice

1.022042

1.017453

 

 

Aggressive

1.022542

1.017544

 

 

Cash

1.002717

1.002717

 

 

Bonds / Fixed Interest

0.997854

0.995760

 

 

Australian shares

1.024616

1.020526

 

 

International shares (unhedged)

1.023561

1.017845

 

 

International shares (hedged)

1.031838

1.026076

 

 

Property

1.006877

0.998854

 

 

Sustainable

1.002559

0.996561

 

 

 

 

 

Schedule 2 Buy price and sell price

(subsection 4 (1))

 

Item

Date

Investment Option

Buy price

$

Sell price

$

 

 

Note   Items in this Schedule will be inserted by future amendments of this Determination.