Overview

Investment Objective

The Fund aims to earn an after-fee return in excess of the MSCI World ex Australia Index, net dividends reinvested (“Benchmark”), in Australian dollars over rolling three-year periods.

Fund Highlights

  • The Fund invests in a diversified portfolio of globally listed companies.
  • A professionally managed active portfolio, with an investment process that is characterised by a rigorous quantitative stock selection process based on fundamental principles and integrated risk controls.
  • The Fund seeks to rank companies based on factors such as cash flows, earnings growth, expectations, value, behavioural and alternative factors.
Fund Information
Listing Exchange  ASX – XASX
Fund Inception Date  31/01/1993
ETF Listing Date 10/06/2026
Base Currency for Fund  AUD
Valuation Frequency  Daily
Distributions
Distribution Frequency  Semiannually
Distribution Amount (CPU) $0.0004615
Payable Date 08/01/2026
Charges
Management Fees and Costs   0.40%
Pricing
Daily Price (NAV) $3.4526 as of 09/06/2026
Indicative NAV (iNAV)* $3.45 as of 4:14PM 10/06/2026
Identifiers
Ticker FGSE
APIR SSB0126AU
ARSN  088 669 827

For Performance, Risk and Portfolio Information, please visit the Managed FundOpens in new window page.

Fund Managers

Fund Manager

Brett E Risser

Massachusetts, United States
Managed Fund Since 2025

Fund Manager

Chris Floyd, CFA®

Massachusetts, United States
Managed Fund Since 2021

Fund Manager

Adrian H Chan, CFA®

Massachusetts, United States
Managed Fund Since 2026

Documents

Product Materials
Fact Sheet DownloadOpens in new window
Product Disclosure Statement DownloadOpens in new window
TMD DownloadOpens in new window
Material Portfolio Information DownloadOpens in new window
Annual Report DownloadOpens in new window
Distribution Reinvestment Plan DownloadOpens in new window