Tower Australia

Statement of Accounts

This information is applicable to investors in the Capital Assured (Series B) and Series C Investment options offered by some TOWER Products. The Statement of Accounts are not specific to any individual policy. They represent the accounts of the sub funds, Capital Assured (Series B) and Series C maintained within TOWER's No.1 Statutory Fund.

The Statement of Accounts include:

  • A summary of transactions in all Investment Accounts for the year;
  • A statement of Investments at the end of the year;
  • A statement of investment Yield earned for the year; and
  • The movement in the combined Investment Reserve for the year.

Capital Assured
(Series B) Statements

pdf Current Statement


Series C Statements

pdf Current Statement

Applicable to the below TOWER Products

- Blue Ribbon Executive - Savings
- Blue Ribbon Executive - Super
- Blue Ribbon Plus - Savings
- Blue Ribbon Plus - Super
- Blue Ribbon Super Bond
- Corporate FIRST
- Corporate Superannuation
- Growth Bond
- Growth Bond Deferred Annuity
- Investment Account Series B
- Lifeforce
- Master Trust
- Passport Ordinary
- Pooled Superannuation Fund
- Preferred Choice Corporate Super
- Preferred Choice Personal Super
- Prestige Deferred Annuity Bond
- Prestige Investment Bond
- Prestige Superannuation Bond
- TOWER Allocated Annuity
- TOWER Bridge Super Bond
- TOWER Managed Deferred Annuity
- TOWER Managed Investment Bond
- TOWER Managed Super Bond
- TOWER Retirement Account
- TOWER Savings Account
Applicable to the below TOWER Products

- Investment Account Series C
TOWER Australia Limited ABN 70 050 109 450 AFSL 237848 (as issuer of the policies) and TOWER Australian Superannuation Limited
ABN 69 003 059 407 AFSL 237851 (as Trustee for the following superannuation funds):

TOWER Master Fund ABN 20 891 605 180
TOWER Superannuation Fund for the General Public ABN 76 727 806 658

© TOWER Australia Group Limited ACN 003 401 698.