About the Fund
A portfolio of companies with activities that are aligned with the United Nations Sustainable Development Goals.
Fund Facts
IRESS | XASG.AXW |
Bloomberg | XASG AH |
Refinitiv | XASG.AX |
Fund size displayed at a class level only.
*The indicative Net Asset Value (iNAV) published on this website is provided by IHS Markit and updated throughout the ASX Trading Day. The iNAV should not be taken to be or relied upon to determine the price at which the units may trade on ASX at any point in time, and may not reflect the true value of the unit. The iNAV is provided for reference purposes only. No assurance can be given that the iNAV will be published continuously or that it will be up to date or free from error. To the extent permitted by law, neither the Responsible Entity nor its appointed agent shall be liable to any person who relies on the iNAV.
The iNAV will be updated for foreign exchange movements in the Fund’s portfolio stocks by individual stock domicile and in respect of stocks that have live market prices during the ASX Trading Day. Where the market for the Fund’s portfolio stocks is closed during the ASX Trading Day, the iNAV may be updated to reflect after-hours movements for representative proxies in applicable derivatives markets.
Neither IHS Markit, its affiliates nor any of its third party data providers makes any warranty, express or implied, as to the accuracy, completeness or timeliness of the data contained herein nor as to the results to be obtained by recipients. IHS Markit has no obligation to update, modify or amend this data or to otherwise notify a recipient if any data changes or subsequently becomes inaccurate. Without limiting the foregoing, neither IHS Markit, its affiliates nor any third party data provider shall have any liability whatsoever to you, whether in contract (including under an indemnity), in tort (including negligence), under a warranty, under statute or otherwise, in respect of any inaccuracies, errors or omissions, or any loss or damage suffered by you as a result of or in connection with the IHS Markit data contained herein. All intellectual property and other proprietary rights comprised in the IHS Markit data are and shall be the exc
Fund Performance & Distributions
Fund Performance (Net) as at 31 Oct 2024
1M | 3M | 1YR | 3YR (p.a) | 5YR (p.a) | 10YR (p.a) | SI (p.a) | |
---|---|---|---|---|---|---|---|
Fund | 2.37% | 0.34% | 30.80% | 7.31% | - | - | 11.58% |
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 2024. 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.