Fisher Funds Management Limited

Conservative Fund

Fisher Funds KiwiSaver SchemeConservative

What the provider says about this fund

The fund aims to provide stable returns over the long term by investing mainly in income assets with a modest allocation to growth assets

1-year return

2.83%

5-year return p.a.

1.98%

Total annual fee

0.93%

Fund size ($m)

1291.2

Members

70,437

Inception date

12 June 2009

Risk indicator

The official Smart Investor risk indicator uses a scale from 1 to 7.

1
2
3
4
5
6
7
Lower riskHigher risk

Investment mix

Growth assets

21.41%

Income assets

78.59%

Asset classActualTargetAverage for Conservative funds
Australasian shares5.06%5.00%5.79%
Cash and equivalents20.38%20.00%20.22%
International bonds26.98%32.00%27.47%
International shares12.34%11.00%14.45%
Listed property1.04%2.00%1.47%
New Zealand bonds31.23%28.00%29.28%
Unlisted property2.97%2.00%0.49%

Top 10 holdings

RankAssetAsset classAsset typeCountry% of fund
1ANZ 10 A/C - Current AccountsCashCash and Cash EquivalentsNZ4.92%
2NZ Government Bond 14/04/2033 3.50BondsNew Zealand Fixed InterestNZ2.20%
3NZ Government Bond 15/05/2031 1.50BondsNew Zealand Fixed InterestNZ2.07%
4NZ Government Index Linked Bond 20/09/35 2.50BondsNew Zealand Fixed InterestNZ1.39%
5NZ Government Bond 15/04/2037 2.75BondsNew Zealand Fixed InterestNZ1.23%
6NZ Local Government Funding Agency 15/05/28 2.25BondsNew Zealand Fixed InterestNZ1.06%
7BAYFAIR SHOPPING CENTRE - RetailPropertyUnlisted PropertyNZ0.92%
8Bank of New Zealand 23/11/2026 FRNBondsNew Zealand Fixed InterestNZ0.89%
9NZ Government Index Linked Bond 20/09/40 2.50BondsNew Zealand Fixed InterestNZ0.86%
10NZ Government Bond 20/04/2029 3.00BondsNew Zealand Fixed InterestNZ0.85%

Fees

0.93% total annual fee

Fee typeFeeCost per year on a $30,000 balanceAverage for Conservative funds
Management fees0.85%$2550.70%
Other fees0.08%$240.11%
Membership fees0.00%$00.05%
Total combined fees0.93%$2790.86%

Yearly returns

Year endingFund returnAverage for Conservative funds
31 March 20173.68%3.59%
31 March 20183.62%3.30%
31 March 20195.35%4.43%
31 March 20201.16%1.24%
31 March 20218.80%8.66%
31 March 2022-0.70%-0.64%
31 March 2023-2.44%-1.65%
31 March 20247.01%6.61%
31 March 20253.50%3.59%
31 March 20262.83%3.96%

Key personnel

NamePositionTime in role
Ashley GardyneChief Investment Officer4 years, 9 months
Brent BuchananHead of Direct Property17 years, 10 months
Mark BrighouseChief Investment Strategist8 years, 8 months
Quin CaseySenior Portfolio Manager, Fixed Interest1 year, 8 months
Sam DickieSenior Portfolio Manager, International Equities and Property & Infrastructure3 years, 6 months