Super SA's Capital Defensive, Conservative, Moderate, Balanced, Growth and High Growth options include an exposure to Australian and international equities (or shares) and property.

The Australian equities portfolio has exposure to over 300 stocks, while the international equities portfolio has exposure to over 3,000 stocks.

The tables below list the top 20 shareholdings within each of these asset classes.

The Socially Responsible investment option invests in the AMP Capital Responsible Investment Leaders Balanced Fund, which invests into the Responsible Investment Leaders Australian Shares Fund and the Responsible Investment Leaders International Shares Fund.

The Australian and international share holdings of Super SA's Socially Responsible option are available on the
AMP Capital website.

As at 30 September 2017

Australian Equities top 20 holdings by issuer

Security % of Portfolio
Westpac Banking Corporation 7.7
Commonwealth Bank Australia 7.1
ANZ Bank 5.6
BHP Billiton Group 5.5
National Australia Bank 4.9
CSL Ltd 3.8
Wesfarmers Ltd 2.4
Rio Tinto Group 1.9
Amcor Ltd 1.8
Transurban Group 1.8
Macquarie Group Ltd 1.8
Woolworths Ltd 1.7
Origin Energy 1.6
Telstra Corp Ltd 1.6
Sydney Airport 1.6
Brambles Ltd 1.6
AGL Energy 1.5
Qantas Airways 1.4
Insurance Australia Group 1.4
James Hardie Industries 1.1
Total 57.4


International Equities top 20 holdings by issuer

Security % of Portfolio
Nestle 1.0
Microsoft 0.8
Apple 0.8
Pfizer 0.7
Visa Inc 0.6
Cisco Systems 0.6
Gilead Sciences 0.6
Samsung Electronics 0.6
Bayer AG 0.6
Sanofi 0.6
Wells Fargo 0.6
Taiwan Semiconductor 0.5
United Health Group 0.5
Citigroup 0.5
Reckitt Benckiser 0.5
Paypal 0.5
Monsanto Co 0.5
AIA Group 0.5
Thermo Fisher Scientific 0.5
JPMorgan Chase 0.5
Total 11.9

1 Funds SA has investments in a number of unlisted property funds which have exposure to over 150 properties across Australia and New Zealand.

Please note that due to rounding, the sum of the individual numbers within the tables may not equal the total quoted.