Hunter Growth Fund
The Hunter Growth Fund (the Fund) is a PIE-compliant New Zealand-domiciled fund with investments managed by Hunter Investment Management (Hunter). Implemented Investment Solutions (IIS) is the issuer and manager of the Fund. The Fund is registered as an offer within a Managed Investment Scheme under the Financial Markets Conduct Act 2013 and is regulated by the FMA.
Hunter promotes and distributes the Fund. Tony Hildyard is the Managing Director and is responsible for managing all client relationships.
The Fund provides investors with access to low cost diversified portfolio of assets. It aims for high long-run returns by investing in a diversified portfolio weighted towards growth assets but with some income asset exposure. The Fund invests in a variety of asset classes and investment can be either directly in securities (including derivatives) or via a suitable fund, both in New Zealand and internationally.
The key features of the Fund:
- Providing investors with a PIE compliant fund
- Passively managed with the objective to perform broadly in line with the return of its investment benchmark before fees and tax over the long-term
- The benchmark for the Fund is the weighted average return (before tax, fees and other expenses) of the benchmark indices into which the Fund invests
|Investment Manager||Hunter Investment Management Limited|
|Investment Policy and Objectives||Provides exposure to a range of asset types and invests in passively and actively managed underlying funds selected by Hunter.
Objective: to perform broadly in line with the return of its investment benchmark before fees and tax over the long-term.
|Investment Strategy||The Fund invests in international equities, australasian equities, international fixed interest, NZ fixed interest, and cash and cash equivalents. Investment can be either directly in securities (including derivatives) or via a suitable fund.
Hunter’s investment philosophy is based on the following beliefs:
|Benchmark||The investment benchmark for the Fund is the weighted average return (before tax, fees and other expenses) of the benchmark indices into which the Fund invests.|
|Minimum Investment Timeframe||5+ Years|