NZ managed funds audited by EY (Ernst & Young)
42 NZ retail managed funds across 3 fund managers are audited by EY (Ernst & Young) (Ernst & Young), per each scheme's Other Material Information document lodged on the FMA Disclose register.
An auditor's role is to independently verify the scheme's annual financial statements. Auditor identity is disclosed in every scheme's OMI document under Financial Markets Conduct Act 2013 requirements.
Booster
9 funds
- Booster Shielded Growth FundDiversified1.41% annual
- Booster Socially Responsible Balanced FundDiversified1.33% annual
- Booster Socially Responsible Growth FundDiversified1.34% annual
- Booster Socially Responsible High Growth FundDiversified1.35% annual
- Booster Wealth Balanced FundDiversified0.83% annual
- Booster Wealth Geared Growth FundDiversified1.35% annual
- Booster Wealth Growth FundDiversified0.91% annual
- Booster Wealth High Growth FundDiversified0.96% annual
- Booster Wealth Moderate FundDiversified0.74% annual
Kernel
21 funds
- Kernel Australia 100 FundAustralasian Equities0.25% annual
- Kernel Balanced FundDiversified0.25% annual
- Kernel Cash Plus FundCash0.25% annual
- Kernel Conservative FundDiversified0.25% annual
- Kernel Emerging Markets FundInternational Equities0.45% annual
- Kernel Global ESG FundInternational Equities0.25% annual
- Kernel Global Infrastructure FundOther0.25% annual
- Kernel High Growth FundDiversified0.25% annual
- Kernel NZ 20 FundAustralasian Equities0.25% annual
- Kernel NZ 50 ESG Tilted FundAustralasian Equities0.25% annual
- Kernel NZ Bond FundNZ Fixed Interest0.40% annual
- Kernel NZ Commercial Property FundListed Property0.25% annual
- Kernel NZ Small & Mid Cap Opportunities FundAustralasian Equities0.25% annual
- Kernel S&P 500 (NZD Hedged) FundInternational Equities0.25% annual
- Kernel S&P 500 (Unhedged) FundInternational Equities0.25% annual
- Kernel S&P Global 100 (NZD Hedged) FundInternational Equities0.25% annual
- Kernel S&P Global 100 FundInternational Equities0.25% annual
- Kernel S&P Global Clean Energy FundInternational Equities0.45% annual
- Kernel S&P Global Dividend Aristocrats FundInternational Equities0.25% annual
- Kernel US Bond FundInternational FI0.30% annual
- Kernel World ex-US FundInternational Equities0.25% annual
NZ Funds
12 funds
- NZ Funds Global BondsInternational FI1.44% annual
- NZ Funds Global InfrastructureOther2.53% annual
- NZ Funds Global PropertyListed Property2.52% annual
- NZ Funds Global SharesInternational Equities3.12% annual
- NZ Funds Global UtilitiesInternational Equities2.53% annual
- NZ Funds Income GeneratorDiversified1.67% annual
- NZ Funds New Zealand and Australian BondsNZ Fixed Interest1.44% annual
- NZ Funds New Zealand and Australian SharesAustralasian Equities2.52% annual
- NZ Funds New Zealand Property and Retirement VillagesListed Property2.52% annual
- NZ Funds Wealth Builder - Growth StrategyDiversified2.14% annual
- NZ Funds Wealth Builder - Income StrategyDiversified1.20% annual
- NZ Funds Wealth Builder - Inflation StrategyDiversified1.58% annual
Other auditors
Methodology
Auditor identity sourced from each scheme's Other Material Information document lodged on the FMA Disclose register. Names normalised across drift in source filings (e.g. "PwC", "PricewaterhouseCoopers", "PwC Auckland" all map to the same firm).
ManagedFundsNZ provides information only, not personalised financial advice. Auditor identity is a structural disclosure; it doesn't imply quality of audit or any endorsement of the funds listed.