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Alpha Generating strategies

New Zealand Funds

Coolabah offers New Zealand based investors access to the Australian and global fixed income market through the following strategies.

All strategies are portfolio investment entities (PIE). This is a New Zealand managed fund that offers investors special tax rules that apply to the income earned by the Fund. The PIE rules mean that investors pay tax on their own tax rate (the Prescribed Investor Rate or PIR), which is usually slightly lower than their income tax rate. Refer to the Product Disclosure Statement for more information.

Managed Funds

Fund Comparison

FundCoolabah Short Term Income PIE FundCoolabah Global Floating-Rate High Yield PIE FundCoolabah Long-Short Credit PIE FundCoolabah Active Composite Bond PIE FundCoolabah Active Global Bond PIE Fund
StrategyShort-Term IncomeGlobal Floating-Rate High YieldLong-Short Credit Composite BondGlobal Bond
DomicileNew ZealandNew ZealandNew ZealandNew ZealandNew Zealand
CurrencyNZDNZDNZDNZDNZD
Investment ObjectiveRBNZ + 1%-2% p.a. after feesA floating-rate bond portfolio with enhanced yieldsRBNZ + 4%-6% p.a. after feesAusBond Composite 0+ Yr Index + 1%-2% p.a. after feesBloomberg Global Aggregate Corporate Bond Index + 1%-2% p.a. after fees
Inception Date9-Dec-216-Dec-239-Dec-216-Dec-2310-Jun-26
Underlying FundCoolabah Short Term Income Fund (Aus)Coolabah Global Floating-Rate High Yield Fund (Aus)Smarter Money Long-Short Credit Fund (Aus)Coolabah Active Composite Bond Fund (Aus)Coolabah Active Global Bond Fund (Aus)
Underlying Fund Inception Date8-Oct-1417-Feb-2531-Aug-176-Mar-1723-Sep-24
SupervisorPublic TrustPublic TrustPublic TrustPublic TrustPublic Trust
IssuerFundRock NZFundRock NZFundRock NZFundRock NZFundRock NZ
RegistryAdminis NZApex Fund ServicesAdminis NZApex Fund ServicesApex Fund Services
CustodianAdminis NZBNP ParibasAdminis NZBNP ParibasPublic Trust
ApplicationsDailyDailyDailyDailyDaily
WithdrawalsDaily (T+4)Daily (T+4)Daily (T+4)Daily (T+4)Daily (T+4)
DistributionsQuarterlyQuarterlyQuarterlyQuarterlyQuarterly
Minimum Investment$1,000$1,000$1,000$1,000$1,000
Additional Investment$1,000$1,000$1,000$1,000$1,000
Buy/Sell Spread*

0.00%/0.025%

0.00%/0.05%

0.00%/0.05%

0.00%/0.025%

0.00%/0.025%

GearingNoYesYesYesYes
ShortingNoNoYesYesYes
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*Buy/sell spreads are indicative only. For the most up to date buy/sell spreads see www.fundrock.com. Buy/sell spreads belong to the Funds and are not a fee paid to FundRock NZ or to the investment manager, see page 9 of the PDS for further details.

Disclaimer

Past performance does not assure future returns. Returns are shown after all fund fees, unless otherwise stated. Retail product fees can vary depending on the unit class selected and/or whether the financial advisory firm has negotiated access to lower cost unit classes.

Public Trust is the Supervisor and FundRock NZ Limited (FundRock) is the issuer and manager of the Coolabah Investment Funds (Scheme), including the Coolabah Short Term Income PIE Fund, the Coolabah Global Floating-Rate High Yield PIE Fund, the Coolabah Long-Short Credit PIE Fund and the Coolabah Active Composite Bond PIE Fund. Coolabah Capital Investments (Retail) Pty Ltd ACN 153 555 867 is the Investment Manager.

This has been prepared by Coolabah Capital Investments (Retail) Pty Ltd ACN 153 555 867 (Coolabah), an authorised representative (#000414337) of Coolabah Capital Institutional Investments Pty Ltd ABN 85 605 806 059 AFSL 482238, to provide you with general information only. In preparing this publication, we did not take into account the investment objectives, financial situation or particular needs of any particular person. It is not intended to take the place of professional advice and you should not take action on specific issues in reliance on this information. The Product Disclosure Statement (PDS) for the Fund should be considered before deciding whether to acquire or hold units in it. A PDS for the Fund can be obtained by visiting www.coolabahcapital.com. Neither Coolabah, Equity Trustees nor any of their related parties, their employees or directors, provide any warranty of accuracy or reliability in relation to such information or accepts any liability to any person who relies on it. Past performance should not be taken as an indicator of future performance. The Fund is subject to investment risks, which could include delays in repayment and/or loss of income and capital invested.

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