MLC MultiActive (formerly IOOF MultiMix)
Please note, as of 30 November 2023, the IOOF MultiMix trusts were renamed MLC MultiActive. MLC MultiActive High Growth and MLC MultiActive Geared were formerly known as MLC Wholesale Horizon 6 Share Portfolio and MLC Wholesale Horizon 7 Accelerated Growth Portfolio respectively.
Forms – To request an application form for MLC MultiActive High Growth and MLC MultiActive Geared contact us on 1300 738 355.
- MLC MultiActive Product Disclosure Statement (excluding High Growth and Geared)
- MLC MultiActive Application form (excluding High Growth and Geared)
- MLC MultiActive Geared Product Disclosure Statement
- MLC MultiActive Geared Product Guide
- MLC MultiActive High Growth Product Disclosure Statement
- MLC MultiActive High Growth Product Guide
- MLC MultiActive Australian Shares
- MLC MultiActive Balanced
- MLC MultiActive Capital Stable
- MLC MultiActive Cash Enhanced
- MLC MultiActive Conservative
- MLC MultiActive Diversified Fixed Income
- MLC MultiActive Geared
- MLC MultiActive Global Shares
- MLC MultiActive Growth
- MLC MultiActive High Growth
- MLC MultiActive Moderate
- MLC MultiActive Property
- MLC MultiActive Australian Shares Fund Profile
- MLC MultiActive Balanced Fund Profile
- MLC MultiActive Capital Stable Fund Profile
- MLC MultiActive Cash Enhanced Fund Profile
- MLC MultiActive Conservative Fund Profile
- MLC MultiActive Diversified Fixed Income Fund Profile
- MLC MultiActive Geared Fund Profile
- MLC MultiActive Global Shares Fund Profile
- MLC MultiActive Growth Fund Profile
- MLC MultiActive High Growth Fund Profile
- MLC MultiActive Moderate Fund Profile
- MLC MultiActive Property Fund Profile
- Distribution information for the year ended 30 June 2024
- End of year distribution commentary - financial year ended 30 June 2024
- Announcement regarding Ad-hoc Communications and Annual Financial Reports - October 2023
- Significant Event Notice regarding upcoming changes - IOOF MultiMix portfolios - 15 September 2023
- Product fee and cost information update - 15 September 2023
- Fee and cost Product Update - 30 June 2023
- Announcement regarding Unitholder Meetings and Annual Financial Reports - 30 June 2022
- Product Disclosure Statement update - 10 December 2021
- Benchmark product update - September 2021
- Updated buy-sell spread information - July 2021
- Updated transactional and operational cost information - financial year ended 30 June 2021
- Updated fee and cost information - financial year ended 30 June 2021
- Updated buy-sell spread information - December 2020
- Updated fee and cost information - financial year ended 30 June 2020
- Updated buy-sell spread information - 10 Jun 2020
- Updated buy-sell spread information - 20 May 2020
- Updated buy-sell spread information - 1 May 2020
- Updated buy-sell spread information - 16 April 2020
- Updated buy-sell spread information - 1 April 2020
- Updated buy-sell spread information - February 2020
- AETL Product update 30 November 2022
- Product update 30 November 2022
- AMIT product update 2019
- Appointment of a new custodian (Open funds) 2019
- Investment objective product update - December 2019
- Updated fee and cost information - financial year ended 30 June 2019
- Updated buy-sell spread information - April 2019
- Updated fee and cost information - financial year ended 30 June 2018
- Benchmark correction product update - January 2018
- Updated Product Disclosure Statements - September 2017
Update
IOOF MultiMix Trusts
2 June 2017
IOOF Investment Management Limited (IIML) elected to opt into the AMIT regime from 1 July 2017 for all managed investment trusts of which IIML is the Responsible Entity.