MLC Long-Term Absolute Return Portfolio
MLC Long-Term Absolute Return Portfolio is a multi-sector, multi-manager portfolio, adopting a true long-term investment horizon.

The MLC Long-Term Absolute Return Portfolio:
- Uses strategies not available to traditional portfolios like accessing many sources of returns in addition to share markets, gearing and applying a strategic overlay to manage risk and opportunity.
- Is designed to access a wider range of asset classes and not rely on equity markets
- Aims to maximise the net real return (i.e. after deducting inflation, tax and investment fees) over rolling 20 year periods, while ensuring a high likelihood of it being positive over the timeframe.
Ratings and Awards
The MLC Long-Term Absolute Return portfolio is rated by leading research houses:
| Fund |
ChantWest |
S&P |
ThreeSixty |
| MLC Long-Term Absolute Return Portfolio |
 |
 |
Approved |

MLC Long-Term Absolute Return Portfolio won 'Best New Product of the Year' in the 2006 annual Rainmaker Marketing Excellence Awards.