Aurora KiwiSaver fund and strategy performance

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Fund and Strategy Performance as at 30 June 2025*

Liquidity
1 month
0.26%
3 months
0.78%
1 year
4.4%
3 years p.a.
4.64%
First Home Buyer
1 month
0.76%
3 months
1.43%
1 year
5.79%
3 years p.a.
4.94%
Conservative
1 month
0.93%
3 months
1.64%
1 year
6.25%
3 years p.a.
5.01%
Balanced
1 month
1.45%
3 months
2.86%
1 year
8.06%
3 years p.a.
7.7%
Growth
1 month
1.8%
3 months
3.65%
1 year
9.19%
3 years p.a.
9.45%

RetirementPlus Strategy Performance as at 30 June 2025*

RetirementPlus
(Age 50)
1 month
1.8%
3 months
3.65%
1 year
9.19%
3 years p.a.
9.14%
RetirementPlus
(Age 65)
1 month
1.36%
3 months
2.65%
1 year
7.74%
3 years p.a.
7.09%
RetirementPlus
(Age 75)
1 month
1.06%
3 months
1.95%
1 year
6.7%
3 years p.a.
5.64%
*Past performance is not necessarily an indicator of future performance. The value of investments can go down as well as up. Returns are after fees and before tax.

KiwiSaver options for everyone.

Liquidity

The Fund aims for capital security and liquidity through a diversified portfolio of low-risk, liquid assets, integrating ESG factors where relevant.

Conservative

The Fund seeks stable returns via income assets with moderate growth exposure, tracking climate impact through carbon measures and sustainability alignment.

Growth

The Fund targets long-term growth through a diversified portfolio of growth assets, with a small allocation to income assets, monitoring climate impact.

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