Superannuation (PSSAP) Unit Pricing Amendment Determination 2005 (No. 1)

I, PETER CARRIGY-RYAN, Chief Business Operations Officer,  Delegate of the PSS Board, 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 28 July  2005

P Carrigy-Ryan

 

Delegate of the PSS Board

 

1 Name of Determination

  This Determination is the Superannuation (PSSAP) Unit Pricing Amendment Determination 2005 (No. 1).

2 Commencement

  This Determination commences on 28 July 2005.

3 Amendment of Superannuation (PSSAP) Unit Pricing Determination 2005

  Schedule 1 amends the Superannuation (PSSAP) Unit Pricing Determination 2005.

 

Schedule 1 Amendments

(section 3)

[1] Schedule 2, item heading and note

substitute

 

Item

Date

Investment Option

Buy price

$

Sell price

$

1

25 July 2005

Conservative

1.008061

1.005544

 

 

Balanced 50/50

1.012127

1.007986

 

 

Trustee Choice

1.022754

1.018162

 

 

Aggressive

1.023012

1.018012

 

 

Cash

1.00308

1.00308

 

 

Bonds / Fixed Interest

0.999208

0.997112

 

 

Australian shares

1.026325

1.022228

 

 

International shares (unhedged)

1.026227

1.020496

 

 

International shares (hedged)

1.030853

1.025096

 

 

Property

1.007262

0.999236

 

 

Sustainable

1.002499

0.996502

 

 

 

 

 

 

 

Item

Date

Investment Option

Buy price

$

Sell price

$

2

 26 July 2005

Conservative

1.008276

1.005758

 

 

Balanced 50/50

1.012463

1.008321

 

 

Trustee Choice

1.023275

1.018681

 

 

Aggressive

1.023664

1.01866

 

 

Cash

1.003203

1.003203

 

 

Bonds / Fixed Interest

0.999183

0.997087

 

 

Australian shares

1.026957

1.022857

 

 

International shares (unhedged)

1.031028

1.025271

 

 

International shares (hedged)

1.031535

1.025775

 

 

Property

1.007392

0.999365

 

 

Sustainable

1.002478

0.996482

 

 

 

 

 

 

 

Item

Date

Investment Option

Buy price

$

Sell price

$

3

 27 July 2005

Conservative

1.009206

1.006686

 

 

Balanced 50/50

1.013787

1.009639

 

 

Trustee Choice

1.025017

1.020414

 

 

Aggressive

1.025972

1.020957

 

 

Cash

1.003333

1.003333

 

 

Bonds / Fixed Interest

0.999623

0.997526

 

 

Australian shares

1.028241

1.024136

 

 

International shares (unhedged)

1.039073

1.03327

 

 

International shares (hedged)

1.03586

1.030075

 

 

Property

1.007529

0.999501

 

 

Sustainable

1.002458

0.996462