Australian Retirement Trust — Diversified Socially Conscious Balanced (Income)

Super Savings - Income account Retirement holdings as at 31 December 2025

As at 31 December 2025, the Australian Retirement Trust Diversified Socially Conscious Balanced (Income) option disclosed 267 holdings — its largest being METLIFE INVESTMENT MANAGEMENT LIMITED at 14.14%. 1 internally-managed unlisted holdings are disclosed by name only.

Disclosed value

$309,078,576

Disclosed holdings

267

Itemised value shown

$303,820,331

Name only (unlisted)

1

Listed holdings are shown with their disclosed value. 1 internally-managed unlisted holdings are disclosed by name only — their value is reported within the asset-class allocation below, not on the per-line listing, so the itemised total is lower than the disclosed portfolio value by design. We surface disclosed holdings; we don't look through pooled vehicles. See methodology.
Asset-class allocation

Physical holdings by asset class. The synthetic (derivative) effect is the disclosed Schedule 8D Table 3 overlay, shown separately — not netted into the physical figures.

Physical (disclosed holdings)

Asset classWeightingValue (AUD)
Equity
58.31%
$181,084,576
Fixed Income
18.07%
$56,101,687
Property
15.92%
$49,459,101
Infrastructure
6.00%
$18,647,501
Cash
1.22%
$3,785,711

Synthetic effect (derivatives, Table 3)

Asset classWeighting effect
Fixed Income1.00%
Equity-1.00%
Currency exposure

Physical currency as disclosed (sparsely reported — an undisclosed bucket is shown as such, not inferred). The synthetic (derivative) effect is the Schedule 8D Table 4 overlay, shown separately.

Physical (disclosed)

CurrencyWeightingValue (AUD)
Not disclosed
96.61%
$300,034,620
AUD
0.45%
$1,362,083
USD
0.41%
$1,292,699
EUR
0.13%
$403,171
CNY
0.08%
$249,879
GBP
0.05%
$138,912
JPY
0.04%
$112,753
CHF
0.02%
$73,841
CAD
0.02%
$66,734
NZD
0.01%
$21,652
SEK
0.01%
$18,987

+ 7 further disclosed currencies, each below 0.01% by weighting.

Synthetic effect (derivatives, Table 4)

CurrencyWeighting effect
AUD41.00%
CURRENCIES OF OTHER DEVELOPED MARKETS-14.00%
USD-27.00%
Holdings

All 267 holdings disclosed by Australian Retirement Trust Diversified Socially Conscious Balanced (Income), largest first, as at 31 December 2025. Each resolved security links to the funds that hold it. Internally-managed unlisted holdings are marked “name only”.

HoldingAsset classCurrencyWeightingValue (AUD)
METLIFE INVESTMENT MANAGEMENT LIMITED Fixed Income14.14%$43,922,941
PARTNERS GROUP AG Equity5.42%$16,843,463
NEUBERGER BERMAN Equity2.48%$7,699,975
COMMONWEALTH BANK OF AUSTRALIA Equity2.39%$7,422,905
BARRENJOEY PRIVATE CAPITAL MANAGEMENT PTY LIMITED Fixed Income1.94%$6,018,420
FORTESCUE LTD. Equity1.88%$5,848,527
BERKSHIRE RESIDENTIAL INVESTMENTS Property1.65%$5,118,386
MIRVAC FUNDS MANAGEMENT LTD Property1.63%$5,062,712
STEPSTONE GROUP Property1.62%$5,025,205
QIC LIMITED Property1.61%$4,997,195
ANZ GROUP HOLDINGS LTD. Equity1.45%$4,501,232
NVIDIA CORP. Equity1.37%$4,264,486
MACQUARIE ASSET MANAGEMENT Infrastructure1.36%$4,211,970
ALPHABET, INC. Equity1.23%$3,808,260
APPLE, INC. Equity1.12%$3,477,384
WESTPAC BANKING CORPORATION Equity1.09%$3,382,481
ALLEGRO FUNDS PTY LTD Property1.07%$3,323,972
STEPSTONE GROUP Infrastructure1.01%$3,148,998
NATIONAL AUSTRALIA BANK LIMITED Equity0.99%$3,079,574
ELEVATION ADVISORS LLP Property0.99%$3,072,064
MORRISON Infrastructure0.99%$3,067,249
BRAMBLES LTD. Equity0.98%$3,041,825
MICROSOFT CORP. Equity0.98%$3,034,371
WESFARMERS LTD. Equity0.94%$2,934,605
CSL LTD. Equity0.93%$2,874,959
HEITMAN LLC Property0.91%$2,820,205
MACQUARIE GROUP LTD. Equity0.84%$2,617,754
NORTHERN STAR RESOURCES LTD. Equity0.82%$2,537,506
GOODMAN GROUP Property0.74%$2,307,561
AMAZON.COM, INC. Equity0.74%$2,297,218
BROOKFIELD ASSET MANAGEMENT LTD. Property0.72%$2,245,293
QBE INSURANCE GROUP LTD. Equity0.65%$2,007,115
TAIWAN SEMICONDUCTOR MANUFACTURING CO. LTD. Equity0.64%$1,983,441
BANK OF AMERICA CORP. Equity0.61%$1,907,249
BROADCOM, INC. Equity0.58%$1,802,594
SANDFIRE RESOURCES LTD. Equity0.57%$1,785,484
ALS LTD. Equity0.54%$1,690,635
INSURANCE AUSTRALIA GROUP LTD. Equity0.54%$1,681,635
RAMELIUS RESOURCES LTD. Equity0.52%$1,607,574
EVOLUTION MINING LTD. Equity0.51%$1,596,104
SUPER RETAIL GROUP LTD. Equity0.50%$1,555,520
QIC LIMITED Infrastructure0.50%$1,547,608
STOCKBRIDGE CAPITAL GROUP, LLC Property0.49%$1,521,871
PARTNERS GROUP AG Infrastructure0.45%$1,413,431
CITIGROUP, INC. Equity0.44%$1,368,202
GOODMAN GROUP Property0.44%$1,354,973
WALT DISNEY CO. Equity0.42%$1,315,599
COMPUTERSHARE LTD. Equity0.42%$1,302,827
GPT GROUP Property0.42%$1,298,635
STATE STREET BANK AND TRUST CashAUD0.41%$1,260,280
CHINA MERCHANTS BANK CO. LTD. Equity0.40%$1,241,364
TELSTRA GROUP LTD Equity0.40%$1,237,999
HITACHI LTD. Equity0.40%$1,231,830
AIA GROUP LTD. Equity0.38%$1,195,966
COMMONWEALTH BANK OF AUSTRALIA Fixed Income0.38%$1,181,763
SCENTRE GROUP LTD Property0.38%$1,181,698
ORORA LTD. Equity0.38%$1,173,262
MEDIBANK PVT LTD. Equity0.38%$1,166,973
WESTPAC BANKING CORPORATION Fixed Income0.37%$1,153,021
NATIONAL AUSTRALIA BANK LIMITED Fixed Income0.37%$1,146,766
AUSTRALIA AND NEW ZEALAND BANKING GROUP LIMITED Fixed Income0.37%$1,145,825
ASTRAZENECA PLC Equity0.36%$1,120,169
VISA, INC. Equity0.34%$1,043,159
EQT PRIVATE CAPITAL ASIA Property0.33%$1,039,828
M.H. CARNEGIE & CO. PTY LTD Property0.33%$1,036,924
SEAGATE TECHNOLOGY HOLDINGS PLC Equity0.33%$1,022,447
NETFLIX, INC. Equity0.33%$1,022,240
ELI LILLY & CO. Equity0.32%$1,000,895
STATE STREET BANK AND TRUST CashUSD0.31%$973,259
XERO LTD. Equity0.31%$959,353
GILEAD SCIENCES, INC. Equity0.31%$949,382
ASML HOLDING NV Equity0.30%$920,903
SAP SE Equity0.30%$919,777
COCHLEAR LTD. Equity0.29%$910,356
DEXUS CAPITAL INVESTORS LIMITED Property0.29%$891,052
PFIZER, INC. Equity0.28%$878,115
SIMS LTD. Equity0.28%$877,163
SUMITOMO MITSUI FINANCIAL GROUP, INC. Equity0.28%$874,411
CRH PLC Equity0.28%$874,150
NATIONAL STORAGE REIT Property0.28%$865,622
PALO ALTO NETWORKS, INC. Equity0.27%$839,954
IGO LTD. Equity0.27%$832,425
RELIANCE, INC. Equity0.26%$816,136
GRUPO CIBEST SA Equity0.26%$811,154
WESCO INTERNATIONAL, INC. Equity0.26%$798,909
PERENTI LTD. Equity0.25%$786,699
CROWDSTRIKE HOLDINGS, INC. Equity0.25%$784,233
FORTUNE BRANDS INNOVATIONS, INC. Equity0.25%$772,330
NUCOR CORP. Equity0.25%$768,111
BREVILLE GROUP LTD. Equity0.24%$759,917
CBRE INVESTMENT MANAGEMENT Property0.24%$733,077
IA FINANCIAL CORP., INC. Equity0.23%$710,377
PRO MEDICUS LTD. Equity0.23%$704,335
BEGA CHEESE LTD. Equity0.22%$695,764
MIRVAC GROUP Property0.22%$688,426
LYNAS RARE EARTHS LTD. Equity0.22%$686,024
AMERICAN TOWER CORP. Property0.22%$682,796
RELIANCE WORLDWIDE CORP. LTD. Equity0.22%$681,904
PING AN INSURANCE GROUP CO. OF CHINA LTD. Equity0.22%$681,803
POPULAR, INC. Equity0.22%$680,912
SGH LTD. Equity0.22%$670,520
MANULIFE FINANCIAL CORP. Equity0.21%$662,931
HSBC HOLDINGS PLC Equity0.21%$657,697
HARVEY NORMAN HOLDINGS LTD. Equity0.21%$655,981
ANSELL LTD. Equity0.21%$651,263
ZURICH INSURANCE GROUP AG Equity0.21%$645,864
M&T BANK CORP. Equity0.21%$642,451
QUBE HOLDINGS LTD. Equity0.20%$633,800
BOSTON SCIENTIFIC CORP. Equity0.20%$630,243
PRYSMIAN SPA Equity0.20%$625,314
GENERAL MILLS, INC. Equity0.20%$623,426
DEUTSCHE TELEKOM AG Equity0.20%$619,393
SAMSUNG ELECTRONICS CO. LTD. Equity0.20%$615,514
VERIZON COMMUNICATIONS, INC. Equity0.20%$605,968
JAMESTOWN PREMIER GP, L.P. Property0.19%$602,724
METLIFE, INC. Equity0.19%$600,170
MCMILLAN SHAKESPEARE LTD. Equity0.19%$593,674
VINCI SA Equity0.19%$589,386
SK SQUARE CO. LTD. Equity0.19%$587,956
LAM RESEARCH CORP. Equity0.19%$587,792
HELIA GROUP LTD. Equity0.19%$574,997
NESTLE SA Equity0.18%$570,763
FAST RETAILING CO. LTD. Equity0.18%$567,477
AGCO CORP. Equity0.18%$564,205
UNILEVER PLC Equity0.18%$563,707
ALIBABA GROUP HOLDING LTD. Equity0.18%$560,653
COLLINS FOODS LTD. Equity0.18%$555,962
GPT GROUP Property0.18%$555,747
KLA CORP. Equity0.18%$554,077
NINTENDO CO. LTD. Equity0.18%$553,102
SCHNEIDER ELECTRIC SE Equity0.18%$547,839
CIA DE SANEAMENTO BASICO DO ESTADO DE SAO PAULO SABESP Equity0.18%$546,141
REGENERON PHARMACEUTICALS, INC. Equity0.18%$544,611
EXPERIAN PLC Equity0.17%$543,698
LOVISA HOLDINGS LTD. Equity0.17%$540,745
SAMSUNG BIOLOGICS CO. LTD. Equity0.17%$535,233
MIZUHO BANK LTD. Fixed Income0.17%$528,863
MONADELPHOUS GROUP LTD. Equity0.17%$524,975
FOMENTO ECONOMICO MEXICANO SAB DE CV Equity0.17%$524,066
STANDARD CHARTERED BANK Fixed Income0.17%$519,431
TESCO PLC Equity0.17%$514,517
TOREX GOLD RESOURCES, INC. Equity0.17%$513,684
TOYOTA MOTOR CORP. Equity0.16%$505,682
NEC CORP. Equity0.16%$504,006
FIBRA UNO ADMINISTRACION SA DE CV Property0.16%$498,600
KEMIRA OYJ Equity0.16%$490,237
INTUITIVE SURGICAL, INC. Equity0.16%$489,347
MERCK & CO., INC. Equity0.16%$486,642
AMCOR PLC Equity0.16%$486,393
COSTCO WHOLESALE CORP. Equity0.16%$485,280
CAPITAL ONE FINANCIAL CORP. Equity0.15%$476,861
PROCTER & GAMBLE CO. Equity0.15%$469,120
PELLICANO PTY. LTD. Property0.15%$468,110
ASX LTD. Equity0.15%$467,783
AUTOMATIC DATA PROCESSING, INC. Equity0.15%$467,371
IPH LTD. Equity0.15%$465,621
MINERAL RESOURCES LTD. Equity0.15%$464,697
SAMSUNG ELECTRONICS CO. LTD. Equity0.15%$462,596
ASICS CORP. Equity0.15%$457,097
NORSK HYDRO ASA Equity0.14%$447,647
ILUKA RESOURCES LTD. Equity0.14%$439,131
UCB SA Equity0.14%$437,753
THERMO FISHER SCIENTIFIC, INC. Equity0.14%$436,432
ILLINOIS TOOL WORKS, INC. Equity0.14%$430,106
APPLOVIN CORP. Equity0.14%$425,807
ACCENT GROUP LTD. Equity0.13%$414,897
LPL FINANCIAL HOLDINGS, INC. Equity0.13%$407,307
GO.FARM AUSTRALIA PTY LTD Property0.13%$403,913
ZOETIS, INC. Equity0.13%$402,648
QUALCOMM, INC. Equity0.13%$397,120
F5, INC. Equity0.13%$393,534
AMERICAN WATER WORKS CO., INC. Equity0.13%$390,006
UNICREDIT SPA Equity0.12%$384,986
FEDEX CORP. Equity0.12%$376,789
TRACTOR SUPPLY CO. Equity0.12%$372,109
DEXCOM, INC. Equity0.12%$371,027
KONECRANES OYJ Equity0.11%$353,781
PRUDENTIAL FINANCIAL, INC. Equity0.11%$347,802
WIENERBERGER AG Equity0.11%$345,226
PRUDENTIAL PLC Equity0.11%$342,346
ANTOFAGASTA PLC Equity0.11%$342,093
SONIC HEALTHCARE LTD. Equity0.11%$336,477
VERTEX PHARMACEUTICALS, INC. Equity0.11%$335,898
DELL TECHNOLOGIES, INC. Equity0.11%$335,091
BARWON INVESTMENT PARTNERS PTY LTD Property0.11%$328,900
TREX CO., INC. Equity0.10%$322,540
GRAINCORP LTD. Equity0.10%$320,553
ESSILORLUXOTTICA SA Equity0.10%$318,919
ABBOTT LABORATORIES Equity0.10%$316,884
KELSIAN GROUP LTD. Equity0.10%$309,972
GRAFTON GROUP PLC Equity0.10%$309,358
PREMIER INVESTMENTS LTD. Equity0.10%$303,831
AMERICAN EXPRESS CO. Equity0.10%$302,720
INVESTA WHOLESALE FUNDS MANAGEMENT LIMITED Property0.10%$302,518
MERCADOLIBRE, INC. Equity0.10%$298,926
HUBBELL, INC. Equity0.09%$295,017
TJX COS., INC. Equity0.09%$285,670
TRAVELERS COS., INC. Equity0.09%$269,714
SUMITOMO MITSUI BANKING CORP. Fixed Income0.09%$264,922
STATE STREET BANK AND TRUST CashEUR0.08%$262,359
MAGNA INTERNATIONAL, INC. Equity0.08%$260,287
SUPERLOOP LTD. Equity0.08%$256,958
GROWTHPOINT PROPERTIES AUSTRALIA LTD. Property0.08%$250,505
CENCOSUD SA Equity0.08%$250,439
STATE STREET BANK AND TRUST CashCNY0.08%$249,879
ARISTA NETWORKS, INC. Equity0.08%$246,651
ROYAL CARIBBEAN CRUISES LTD. Equity0.08%$238,607
CHINA MENGNIU DAIRY CO. LTD. Equity0.08%$237,971
BEST BUY CO., INC. Equity0.08%$237,863
HONG KONG EXCHANGES & CLEARING LTD. Equity0.08%$237,626
CHUBB LTD. Equity0.08%$237,289
GAMES WORKSHOP GROUP PLC Equity0.08%$236,633
PUBLIC STORAGE Property0.07%$229,619
YOKOHAMA RUBBER CO. LTD. Equity0.07%$228,445
MACQUARIE GROUP LTD. CashUSD0.07%$220,632
MITSUBISHI UFJ FINANCIAL GROUP, INC. Fixed Income0.07%$219,735
NINE ENTERTAINMENT CO. HOLDINGS LTD. Equity0.07%$218,755
LENDLEASE CORP. LTD. Property0.07%$210,008
DETERRA ROYALTIES LTD. Equity0.06%$201,058
NESTLE INDIA LTD. Equity0.06%$199,429
IRESS LTD. Equity0.06%$196,091
ZHEJIANG EXPRESSWAY CO. LTD. Equity0.06%$172,341
EMPRESAS CMPC SA Equity0.06%$171,039
IFM INVESTORS PTY LTD Property0.05%$169,254
MACQUARIE GROUP LTD. CashEUR0.05%$140,812
MACQUARIE GROUP LTD. CashAUD0.04%$139,436
LONE STAR GLOBAL ACQUISITIONS, LTD. Property0.04%$136,401
SAMSUNG EPISHOLDINGS CO. LTD. Equity0.04%$126,038
HONGKONG & SHANGHAI BANKING CORP. LTD. CashUSD0.03%$93,225
MACQUARIE GROUP LTD. CashJPY0.03%$84,880
MACQUARIE GROUP LTD. CashGBP0.03%$81,506
STATE STREET BANK AND TRUST CashCHF0.02%$73,841
MACQUARIE GROUP LTD. CashCAD0.02%$54,212
STATE STREET BANK AND TRUST CashGBP0.01%$41,823
MAGNUM ICE CREAM CO. NV Equity0.01%$31,006
STATE STREET BANK AND TRUST CashJPY0.01%$27,873
ISPT PTY LTD Property0.01%$25,128
STATE STREET BANK AND TRUST CashNZD0.01%$21,652
STATE STREET BANK AND TRUST CashSEK0.01%$18,987
HONGKONG & SHANGHAI BANKING CORP. LTD. CashGBP0.01%$15,583
STATE STREET BANK AND TRUST CashNOK0.00%$14,715
STATE STREET BANK AND TRUST CashSGD0.00%$14,461
BARCLAYS BANK PLC CashAUD0.00%$14,445
STATE STREET BANK AND TRUST CashCAD0.00%$12,522
CHARTER HALL LIMITED Property0.00%$8,464
STATE STREET BANK AND TRUST CashDKK0.00%$6,650
STATE STREET BANK AND TRUST CashMXN0.00%$6,438
JPMORGAN CHASE & CO CashUSD0.00%$5,583
STATE STREET BANK AND TRUST CashHKD0.00%$2,389
HONGKONG & SHANGHAI BANKING CORP. LTD. CashAUD0.00%$2,216
RUSSELL INVESTMENTS MANAGEMENT LTD Property0.00%$1,715
UBS AG CashAUD0.00%$454
STATE STREET BANK AND TRUST CashZAR0.00%$269
ROYAL BANK OF CANADA CashAUD0.00%$173
STATE STREET BANK AND TRUST CashKRW0.00%$78
COMMONWEALTH BANK OF AUSTRALIA CashAUD0.00%-$319
SOCIETE GENERALE CashAUD0.00%-$635
GOLDMAN SACHS GROUP, INC. CashAUD0.00%-$1,839
MORGAN STANLEY CashAUD0.00%-$3,608
NATIONAL AUSTRALIA BANK LIMITED CashAUD0.00%-$4,081
AUSTRALIA AND NEW ZEALAND BANKING GROUP LIMITED CashAUD0.00%-$4,405
CITIGROUP, INC. CashAUD0.00%-$5,139
BNP PARIBAS CashAUD0.00%-$5,466
BANK OF AMERICA NATIONAL ASSOCIATION CashAUD0.00%-$5,513
JPMORGAN CHASE & CO CashAUD0.00%-$11,325
WESTPAC BANKING CORPORATION CashAUD0.00%-$12,591
ELECTRANET name onlyInfrastructure

Figures are disclosed by the fund itself under Portfolio Holdings Disclosure (Schedule 8D), as at 31 December 2025. This is factual disclosure information, not financial advice, a rating or a recommendation.

Methodology — how holdings are sourced, resolved and aggregated.

LookThrough shows the actual holdings inside Australian super funds, with cross-fund look-through.

  • 4 of 86 funds
  • 36 of 111 options reviewed
  • 7,010 of 7,168 securities reviewed

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