Forsyth Barr Premium Yield Fund
The fund aims to achieve positive long-term returns by investing in selected New Zealand and international fixed interest assets, subject to the risks associated with investments in fixed interest markets. Typically, the fund is close to fully invested in New Zealand fixed interest assets.
AS AT 10 Jul 2020
Month End Unit Price
As at 31 May 2020
The next Manager’s commentary will be included in the June Performance Summary (available July 2020).
As at 31 May 2020
|ANZ transactional bank account||11.44%|
|New Zealand Local Government Funding Agency Ltd 14/04/2033 3.50%||8.17%|
|New Zealand Local Government Funding Agency Ltd 15/04/2027 4.50%||5.96%|
|New Zealand Local Government Funding Agency Ltd 15/04/2025 2.75%||3.73%|
|Bank of New Zealand Subordinated Note 17/12/2025 5.314%||3.69%|
|Vector Ltd 14/03/2024 4.996%||2.54%|
|Housing New Zealand 3.36% 12/06/2025||2.49%|
|Housing New Zealand 3.42% 18/10/2028||2.00%|
|Transpower New Zealand Ltd 30/06/2022 4.30%||1.95%|
|GMT Bond Issuer Limited 23/06/2022 5.00%||1.85%|
|Major holdings as % of total portfolio||43.81%|
|Total portfolio holdings||74|
As at 31 May 2020
|1 Month||3 Months||1 Year||3 Years*||Since commenced operation*|
|Net Fund Return||1 Month 1.00%||3 Months 1.20%||1 Year 3.77%||3 Years* 3.65%||Since commenced operation* 4.14%|
|Gross Fund Return||1 Month 1.45%||3 Months 1.86%||1 Year 6.11%||3 Years* 5.94%||Since commenced operation* 6.81%|
|S&P/NZX Investment Grade Corporate Bond Index||1 Month 0.82%||3 Months 2.42%||1 Year 6.32%||3 Years* 5.63%||Since commenced operation* 6.60%|
The unit prices shown do not take into account any adjustment for PIE tax.
Net Fund Returns are calculated after deduction of fund charges, trading expenses and accrued tax for a New Zealand resident paying individual tax at the highest Prescribed Investor Rate (28%). Gross Fund Returns are calculated before deduction of taxes and fund charges but after deduction of trading expenses. Market index returns do not have any deductions for fund charges, trading expenses or tax.
The S&P/NZX Investment Grade Corporate Bond Index (“Index”) is a product of S&P Dow Jones Indices LLC and/or its affiliates and has been licensed for use by Forsyth Barr Limited. Copyright © 2015 S&P Dow Jones Indices LLC, a subsidiary of McGraw Hill Financial Inc., and/or its affiliates. All rights reserved. Redistribution, reproduction and/or photocopying in whole or in part are prohibited without written permission of S&P Dow Jones Indices LLC. For more information on any of S&P Dow Jones Indices LLC’s indices please visit www.spdji.com. S&P® is a registered trademark of Standard & Poor’s Financial Services LLC and Dow Jones® is a registered trademark of Dow Jones Trademark Holdings LLC. Neither S&P Dow Jones Indices LLC, Dow Jones Trademark Holdings LLC, their affiliates nor their third party licensors make any representation or warranty, express or implied, as to the ability of any index to accurately represent the asset class or market sector that it purports to represent and neither S&P Dow Jones Indices LLC, Dow Jones Trademark Holdings LLC, their affiliates nor their third party licensors shall have any liability for any errors, omissions, or interruptions of any index or the data included therein.
As at 31 March 2020
This document tells you how the Forsyth Barr Premium Yield Fund has performed and what fees were charged. The document will help you to compare the fund with other funds.
General Fund Information
Potentially lower returns
Potentially higher returns
The risk indicator is rated from 1 (low) to 7 (high). The rating reflects how much the value of the relevant fund’s assets goes up and down (volatility). A higher risk generally means higher potential returns over time, but more ups and downs along the way. The risk indicator is based on the returns data for the five years to 31 December 2019. See more information about the risks of investing in the Product Disclosure Statement.
Target investment mix
|Cash and cash equivalents||5.00%|
|New Zealand fixed interest||90.00%|
|International fixed interest||5.00%|
Forsyth Barr Investment Management is the manager of the Investment Funds. The comments on this webpage do not take your personal circumstances into account. Before acting on this information, please contact your Forsyth Barr Authorised Financial Adviser. His or her disclosure statement is available on request and free of charge. Forsyth Barr Limited and its affiliates do not make any representation or warranty (express or implied) that this webpage is accurate, complete, or current and to the maximum extent permitted by law disclaim any liability for loss which may be incurred by any person relying on this webpage. This webpage is not intended to be distributed or made available to any person in any jurisdiction where doing so would constitute a breach of any applicable laws or regulations.
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Get in touch
22 locations around New Zealand
To find out more about our Premium Yield Fund, speak to one of our Investment Advisers. They will help you determine the role an Investment Fund can play in helping you achieve your goals.