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About the Fund

A portfolio of international stocks that support the United Nations Sustainable Development Goals.

A portfolio with strong ESG practices that offers attractive prospective returns.
A committee of reputable external experts ensures the fund stays true to charter and drives active engagement with companies.
A proven investment team with strong track record applying a disciplined process.

Why this Fund

Seeks to invest in a diversified portfolio of leading sustainable companies, which are aligned with one or more of the United Nations’ Sustainable Development Goals (SDGs), with strong ESG characteristics. The Fund is intended to be suitable for investors who look to invest for at least five years, are seeking high levels of return and are comfortable with high volatility.

Invests in sustainable companies that have a net positive contribution to one or more of the SDGs, as well as a positive ESG profile.
Committed to active engagement with corporates and other investors wherever possible to promote positive change and support the transition to a more sustainable world.
Supported by a Sustainable Compliance Committee, that help challenge thinking, provide independent insights and support company engagement.

Fund Facts

About this fund
Unit prices (at 28 Nov 2022)
Buy $5.42 / Sell $5.45
Buy/sell spread (at 13 Oct 2022)
0.25 / 0.25
Inception date
02 Jun 2021
Benchmark
MSCI World Net Return Index (AUD)
Fund size (at 31 Oct 2022)
$35.38m
Distribution Frequency
Annually
Suggested Min Timeframe
At least five years
Currency
AUD
Portfolio Managers
Jeff Thomson
Jessica Cairns
Mary Manning
Moana Nottage
Fund IDs
APIR
HOW1000AU
ARSN
649 969 228
TICKER
XASG
mFund
-
Fees / Pricing
Management Costs
0.75%
Performance Fee (if applicable)
-
Min Investment
$10,000.00

Fund size displayed at a class level only. Interests in the Alphinity Global Sustainable Equity Fund ARSN 649 969 228 are offered by Fidante Partners Limited (ABN 94 002 835 592 AFSL 234668) (Fidante Partners). Fidante Partners has appointed Alphinity Investment Management Pty Ltd (ABN 12 140 833 709 AFSL 356895) as the investment manager of the Fund. 

Fund Performance & Distributions

Performance Table
Cumulative Performance
Distribution History

Fund Performance (Net) as at 31 Oct 2022

1M 3M 1YR 3YR (p.a) 5YR (p.a) 10YR (p.a) SI (p.a)
Fund 6.75% 2.34% -7.27% - - - 6.29%

Data powered by FE fundinfo. Past performance is not a reliable indicator of future performance. The inception date of the Fund is 2 June 2021.

FE fundinfo calculates performance using the Australian FSC Standard by constructing a total value index series that reflects the percentage change in investments assuming the reinvestment of all distributions. A total value index series is constructed using the Ex-Distribution exit price, which is calculated at the end of a distribution period by deducting the distribution amount by the Cum distribution exit price.

Data powered by FE fundinfo

Performance is calculated on a bid-to-bid basis with income reinvested. It is important to know that unit prices reflect the value of the underlying assets of the funds and so can go down as well as up.

Past performance is not indicative of future performance. Where a fund invests in overseas securities, the unit prices may also rise and fall purely on account of exchange rate fluctuations.

Data powered by FE fundinfo

© FE fundinfo 2022. All rights reserved. The compilation of data contained in this report is the copyright of FE fundinfo. It may be copied only incidentally to print single copies for use by those authorised to view it. Whilst reasonable care has been taken in the compilation of the data, it is not warranted to be accurate or complete, and has been drawn by FE fundinfo from sources which are also not warranted to be accurate or complete.

Performance figures are calculated on an exit – exit basis and shown in Australian Dollars.

Resources

You should read the Fund's TMD and this PDS to ensure the key attributes of the Fund as described in the TMD and PDS aligns with your objectives, financial situation and needs before making a decision about whether to acquire or continue to hold the Fund.

Fund ratings

Organisation Rating
Lonsec Recommended
Morningstar -
Zenith Recommended

The rating issued 06/2022 is published by Lonsec Research Pty Ltd ABN 11 151 658 561 AFSL 421 445 (Lonsec). Ratings are general advice only, and have been prepared without taking account of your objectives, financial situation or needs. Consider your personal circumstances, read the product disclosure statement and seek independent financial advice before investing. The rating is not a recommendation to purchase, sell or hold any product. Past performance information is not indicative of future performance. Ratings are subject to change without notice and Lonsec assumes no obligation to update. Lonsec uses objective criteria and receives a fee from the Fund Manager. Visit lonsec.com.au for ratings information and to access the full report. © 2022 Lonsec. All rights reserved.   

The Zenith Investment Partners (ABN 27 103 132 672, AFS Licence 226872) (“Zenith”) rating (assigned November 2021) referred to in this piece is limited to “General Advice” (s766B Corporations Act 2001) for Wholesale clients only. This advice has been prepared without taking into account the objectives, financial situation or needs of any individual, including target markets of financial products, where applicable, and is subject to change at any time without prior notice. It is not a specific recommendation to purchase, sell or hold the relevant product(s). Investors should seek independent financial advice before making an investment decision and should consider the appropriateness of this advice in light of their own objectives, financial situation and needs. Investors should obtain a copy of, and consider the PDS or offer document before making any decision and refer to the full Zenith Product Assessment available on the Zenith website. Past performance is not an indication of future performance. Zenith usually charges the product issuer, fund manager or related party to conduct Product Assessments. Full details regarding Zenith’s methodology, ratings definitions and regulatory compliance are available on our Product Assessments and at Fund Research Regulatory Guidelines.