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Implemented RI Portfolios

Implemented RI Portfolios

Updates

Product disclosures

Continuous disclosures and important information

 

Notice date

Nature of event or change

Impact of the change

 

7 October 2026

Proposed change of responsible entity

The current responsible entity of your fund, Perpetual Investment Management Limited, ABN 18 000 866 535 AFSL No. 234426 intends to retire as responsible entity and be replaced by its related entity, Perpetual Trust Services Limited ABN 48 000 142 049 AFSL No. 236648.  Subject to compliance with the requirements of the Notice to Unitholders, PIML will lodge a notice with ASIC asking it to alter the record of the fund’s registration to name PTSL as the fund’s appointed responsible entity. The ASIC notice will request for the change of responsible entity to be effective on or around 30 October 2026.

For further information, please see the Notice to Unitholders.

22 September 2026

Update to specialist investment manager information

The details of current underlying specialist investment managers have been updated.

For further information see attached flyer

7 September 2026

Changes to SRM

The Standard Risk Measure (SRM) for Funds may change over time for various reasons, including from review of the underlying capital market assumptions that are used in their calculation and future changes to asset allocations by the investment manager.

Effective 7 September, the SRM has changed, following an annual review.

Investment Option

Previous SRM

New SRM

Australian Shares 6 - High 7- Very High

 

 

1 October 2025

PDS Update: Fees and Costs information 

The information in the PDS about fees and costs, transactions costs and buy-sell spreads is replaced by the information in the Product disclosures section of this page.  

 

22 September 2025

Update to specialist investment manager information

The details of current underlying specialist investment managers have been updated.

For further information see attached flyer

10 March 2025

Update to specialist investment manager information

The naming of the MSCI index implemented by UBS Asset management has been updated in the specialist investment manager information, following a naming change by the index issuer.

For further information see attached flyer