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        "asset": "Precinct Properties NZ Ltd",
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        "asset": "Kiwi Property Group Ltd",
        "assetClass": "Property",
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        "asset": "Property for Industry Ltd",
        "assetClass": "Property",
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        "country": "NZ",
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        "asset": "Stride Property Ltd and Stride Invest Mgmt Ltd",
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        "asset": "Vital Healthcare Property Trust",
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        "asset": "Argosy Property Trust",
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      {
        "label": "Personal Account Trading&Restricted Securities 202409 final.pdf Personal Account Trading & Restricted Securities Policy PDF, 244.13 KB",
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        "label": "Related Parties Policy 201906.pdf Related Parties Policy PDF, 299.18 KB",
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      "rebalancing_policy": "Mint is an active manager and does not programmatically adjust portfolio weights. Asset allocation weights in multi-asset funds and underlying security positions within all funds are regularly reviewed and adjusted as part of the day-to-day investment management process.",
      "currency_hedging_policy": "The default position is that material non-New Zealand dollar exposures will be hedged within a range of 90% to 105%, to neutralise as much as practicable any currency impact. This applies to all Mint Funds with the exception of the Wedge Trans-Tasman Bond Fund which is permitted to operate within a range of 95% to 105%. All currency transactions are governed by ISDA Master Agreements.",
      "liquidity_policy": "Daily liquidity requirements are monitored through forecast and actual cash flows. Oversight of Fund liquidity comes through analysis at monthly portfolio review meetings and quarterly fund reporting. Any material change in the liquidity profile of a Fund will be notified to the Audit, Risk and Compliance Committee and to the Supervisor as soon as practical."
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      "8.3 Quantity based tools are complementary to price based tools and are designed to enable the management of investor best interests during times of significant fund or market stress. Where we receive a withdrawal request that, or a series of withdrawal requests in respect of a Fund within a period of three months that in aggregate, relate to more than 10% of the number of units on issue at the time of the withdrawal request or the last withdrawal request, we may determine it is in the general interest of investors to suspend all withdrawals, or meet withdrawal requests by way of instalments.",
      "4.3 The Supervisor has delegated the function of holding the scheme property of each Fund to Mint Nominees Limited (Custodian), a wholly-owned subsidiary of the Supervisor."
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