ManagedFunds.nz

Annual fund charge

1.15%

vs peer avg 0.95%

Risk indicator

5/7

1 = lower risk · 7 = higher risk

5-year return p.a.

Less than 5 years of data

peer avg 6.03%

Fund size

NZ$3.69b

98% growth · 2% income

The Fund’s objective is to maximise capital growth after the base fund fee but before tax and before the performance fee, over the minimum recommended investment timeframe of ten years. It primarily invests in international equities, with a moderate allocation to Australasian equities.
— Milford

Key facts

Fund start date

21 June 2021

Min. investment

NZ$1,000

Tax structure

PIE

Capped at your PIR (max 28%)

Top 10 holdings

As at the latest published quarterly fund update.

Full portfolio (xlsx) →
Holding % of fund
USD Cash Current Account (HSBC) 7.09%
NVIDIA Corporation 3.20%
Microsoft Corporation 2.96%
Amazon.Com, Inc. 2.94%
Shell Plc 2.65%
Apple Inc. 2.28%
NZD Cash Call Account (BNZ Bank) 2.16%
NZD Cash Current Account (HSBC) 2.09%
AUD Cash Current Account (HSBC) 2.04%
Alphabet Inc. 1.85%

Documents

Every dated PDS, quarterly fund update and full-portfolio holdings file. Linked from the FMA Disclose register via Sorted Smart Investor.

About this category

Multi-asset funds that hold a mix of shares, bonds, cash and sometimes property in a single portfolio. The mix determines the risk profile — aggressive funds hold more shares, conservative funds hold more bonds and cash.

About Milford

New Zealand active manager with diversified, equity and fixed-income strategies.

See all funds from Milford →

Head-to-head

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Side-by-side numbers — fees, returns, risk, fund size, asset mix.

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