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Corporate Governance

The following provides information about the corporate governance of the IRIS Superannuation Fund (IRIS).

Who runs IRIS

Disclosure Documents

  • IRIS Super Income Stream Product Disclosure Statement (PDS)
  • IRIS Term Allocated Pension Product Disclosure Statement (PDS)
  • Financial Services Guide (FSG)

Current versions of the above listed documents can be found on our Publications and Forms page. 

Significant Event Notices

Significant Event Notice
1 September 2016

This SEN applies to both the IRIS SIS and the IRIS TAP and details changes to investment asset allocations for three investment options applying from 1 September 2016, and adjustments to the Administration fees effective 1 September 2016 and 1 January 2017. In addition, transaction costs have been updated to reflect current buy/sell spreads for each option.
Significant Event Notice 
1 August 2015
This SEN applies to both the IRIS SIS and the IRIS TAP and details a reduction in the administration fee for four investment options applying from 1 July 2015. In addition, it also sets out important changes to investment objectives, asset allocations and asset allocation ranges within the available investment options. These changes are effective from 1 October 2015.
Significant Event Notice 
1 September 2014
This SEN applies to both the IRIS SIS and the IRIS TAP and details important changes to investment objectives, asset allocations, an asset allocation range, and a benchmark within the available investment options. These changes are effective from 1 October 2014.

Financial Reports and Statements

Annual Reports

IRIS Signed Financials

SMI Signed Financials

Governing Documents

Registers and Policies

 

Last updated on 14th September 2017