NZ managed funds audited by PwC (PricewaterhouseCoopers)
92 NZ retail managed funds across 27 fund managers are audited by PwC (PricewaterhouseCoopers) (PricewaterhouseCoopers), 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.
Antipodes
1 fund
Artesian
2 funds
Aurellan
2 funds
- Aurellan Global Shares FundInternational Equities1.12% annual
- Aurellan Hedged Global Shares FundInternational Equities1.12% annual
Bentham
2 funds
Brandywine
2 funds
Clarity
9 funds
- Clarity - Capital Group New Perspective FundInternational Equities1.21% annual
- Clarity Diversified Growth FundDiversified1.16% annual
- Clarity Diversified Income FundDiversified0.96% annual
- Clarity Dividend Yield FundInternational Equities1.06% annual
- Clarity Enhanced Cash PIECash0.26% annual
- Clarity Fixed Income FundInternational FI0.70% annual
- Clarity Global Shares FundInternational Equities1.06% annual
- Clarity New Zealand Equity FundAustralasian Equities1.06% annual
- Clarity Trans-Tasman Value FundAustralasian Equities1.06% annual
Daintree
2 funds
- Daintree Core Income PIEInternational FI0.73% annual
- Daintree High Income PIEInternational FI0.90% annual
Devon
4 funds
- Devon Alpha FundAustralasian Equities1.30% annual
- Devon Australian FundAustralasian Equities1.30% annual
- Devon Dividend Yield FundAustralasian Equities1.39% annual
- Devon Trans-Tasman FundAustralasian Equities1.36% annual
Dimensional
6 funds
- Dimensional Australian Sustainability PIE FundAustralasian Equities0.35% annual
- Dimensional Five-Year Diversified Fixed Interest PIE FundInternational FI0.28% annual
- Dimensional Global Bond Sustainability PIE FundInternational FI0.32% annual
- Dimensional Global Sustainability PIE FundInternational Equities0.40% annual
- Dimensional Global Sustainability PIE Fund (NZD Hedged)International Equities0.40% annual
- Dimensional Two-Year Sustainability Fixed Interest PIE FundInternational FI0.25% annual
First Sentier
1 fund
Harbour
14 funds
- Harbour Australasian Equity Focus FundAustralasian Equities1.21% annual
- Harbour Australasian Equity FundAustralasian Equities1.12% annual
- Harbour Australasian Equity Income FundAustralasian Equities1.10% annual
- Harbour Balanced Growth FundDiversified1.04% annual
- Harbour Income FundDiversified0.66% annual
- Harbour Long Short FundAustralasian Equities1.23% annual
- Harbour NZ Core Fixed Interest FundNZ Fixed Interest0.66% annual
- Harbour NZ Corporate Bond FundNZ Fixed Interest0.47% annual
- Harbour NZ Index Shares FundAustralasian Equities0.21% annual
- Harbour Real Estate Investment FundListed Property0.77% annual
- Harbour Sustainable Impact FundDiversified0.27% annual
- Harbour Sustainable NZ Shares FundAustralasian Equities0.27% annual
- Harbour T. Rowe Price Global Equity FundInternational Equities1.21% annual
- Harbour T. Rowe Price Global Equity Fund (Hedged)International Equities1.24% annual
Hunter
2 funds
- Hunter Global Fixed Interest FundInternational FI0.53% annual
- Hunter Private Credit FundInternational FI0.83% annual
Hyperion
2 funds
JPMorgan
1 fund
- JPMorgan Global Bond FundInternational FI0.47% annual
Lifetime
5 funds
- Lifetime Balanced FundDiversified0.99% annual
- Lifetime Cash FundCash0.65% annual
- Lifetime Conservative FundDiversified0.99% annual
- Lifetime Growth FundDiversified0.99% annual
- Lifetime Retirement Income FundDiversified1.36% annual
Milford
10 funds
- Milford Active Growth FundDiversified1.05% annual
- Milford Aggressive FundDiversified1.15% annual
- Milford Australian Absolute Growth FundAustralasian Equities1.05% annual
- Milford Balanced FundDiversified1.05% annual
- Milford Conservative FundDiversified0.85% annual
- Milford Diversified Income FundDiversified0.65% annual
- Milford Global Corporate Bond FundInternational FI0.85% annual
- Milford Global Equity FundInternational Equities1.35% annual
- Milford Trans-Tasman Bond FundNZ Fixed Interest0.65% annual
- Milford Trans-Tasman Equity FundAustralasian Equities1.05% annual
Mint
5 funds
- Mint Australasian Equity FundAustralasian Equities1.18% annual
- Mint Australasian Property FundListed Property1.07% annual
- Mint Diversified Growth FundDiversified1.21% annual
- Mint Diversified Income FundDiversified1.01% annual
- Mint New Zealand SRI Equity FundAustralasian Equities0.97% annual
Pella
1 fund
Pie Funds
2 funds
- Pie Global Growth Fund 2International Equities1.61% annual
- Pie Growth UK & Europe FundInternational Equities1.85% annual
Plato
1 fund
Resolution Capital
2 funds
Russell Investments
8 funds
- Russell Investments Global Fixed Interest FundInternational FI0.58% annual
- Russell Investments Global Listed Infrastructure FundOther1.08% annual
- Russell Investments Global Shares FundInternational Equities0.93% annual
- Russell Investments Hedged Global Shares FundInternational Equities0.92% annual
- Russell Investments Hedged Sustainable Global Shares FundInternational Equities0.33% annual
- Russell Investments NZ Fixed Interest FundNZ Fixed Interest0.49% annual
- Russell Investments NZ Shares FundAustralasian Equities0.78% annual
- Russell Investments Sustainable Global Shares FundInternational Equities0.33% annual
Salt
3 funds
- Salt Enhanced Property FundListed Property1.02% annual
- Salt Long Short FundAustralasian Equities3.21% annual
- Salt NZ Dividend Appreciation FundAustralasian Equities1.10% annual
Schroders
2 funds
Stewart Investors
1 fund
TAHITO
1 fund
- TAHITO Te Tai o Rehua FundAustralasian Equities1.26% annual
Te Ahumairangi
1 fund
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.