The MLC Inflation Plus – Moderate portfolio aims to deliver a return of 5% pa above inflation (before deducting fees) over seven year periods, despite market ups and downs.
We aim to deliver a smoother pattern of returns than the market, and especially to limit large losses, by carefully controlling risk. This is done mainly through the portfolio’s flexible asset allocation, which we adjust as markets change, and by investing in a very broad range of assets and strategies.

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May 2019 03:45 PM
Adding value with derivatives
20 May 2019 - MLC Derivatives Manager, Clinton Guelfi, speaks to MLC Research Manager, Rebecca Collins, about reshaping a portfolio’s risk-return profile using derivatives and how correlations between different assets allow for a range of strategies to be implemented that add value at little to no cost.

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