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International FI

NZ Funds Global Bonds

NZ Funds logo Managed by NZ Funds
PIE · capped at PIR (max 28%) conservative

PIE tax treatment — capped at your PIR (max 28%)

This fund is a Portfolio Investment Entity (PIE) under Subpart HM of the Income Tax Act 2007. Income is taxed at your Prescribed Investor Rate (10.5% / 17.5% / 28%), not your marginal income-tax rate. The fund manager calculates and pays the tax on your behalf — when your PIR is correct, you usually don't need to declare PIE income in your annual tax return. See our PIR guide and PIE tax basics for the full picture, or use the PIR calculator to confirm your rate.

Annual fund charge

1.44%

vs peer avg 0.65%

Risk indicator

4/7

1 = lower risk · 7 = higher risk

5-year return p.a.

0.17%

peer avg 1.17%

Fund size

NZ$137.1m

0% growth · 100% income

The objective of the Global Bonds fund is to generate gains by investing in income assets and other authorised assets with active management. The fund is anticipated to mainly own and trade international bonds over the minimum suggested timeframe.

Key facts

Fund start date

31 October 2008

Tax structure

PIE

Capped at your PIR (max 28%)

How this fund compares to peers

Mechanical comparison vs the 31 other international fi funds in our cohort. Source: FMA Disclose register via Sorted Smart Investor. Past performance is not a reliable indicator of future returns.

Annual fund charge

1.44%

Category median: 0.70%

Pricier than most peers (top 92% by fee)

5y return p.a. (after fees)

+0.17%

Category median: +0.48%

Lower than most peers (bottom 17% over period)

Fund size

NZ$137.1m

Category median: NZ$141.0m

44th percentile by AUM

Illustrative 5y fee impact on a sample balance of $10,000

$700

Compounded charge over 5 years (excl. returns)

$354 more than peer median

Mechanical scores only — no opinion or recommendation. Different funds suit different investor goals. ManagedFundsNZ is not a Financial Advice Provider. Read the current PDS and consider speaking to a licensed financial adviser.

Top 10 holdings

As at the latest published quarterly fund update (via Sorted Smart Investor).

Full portfolio (xlsx) →
Holding % of fund
Westpac Bank Bill 2.5% 20/04/2026 Westpac Bank Bill 2.5% 20/04/2026
18.23%
Westpac Bank Bill 2.49% 13/04/2026 Westpac Bank Bill 2.49% 13/04/2026
14.92%
BB BNZ Bank Bill 2.515% 18/06/2026
9.08%
BB BNZ Bank Bill 2.48% 26/05/2026
4.96%
BB BNZ Bank Bill 2.5% 30/04/2026
4.14%
Westpac Cash Westpac Cash
3.60%
CH Citibank Hong Kong Cash
3.42%
JD John Deere Capital Corp 4.5% 16/01/2029
3.31%
NF Novartis Finance SA 0.0% 23/09/2028
2.78%
Apple Inc 4.0% 10/05/2028 Apple Inc 4.0% 10/05/2028
2.72%

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

Funds investing in fixed-income securities issued outside New Zealand, typically with currency hedging back to NZD.

About NZ Funds

NZ-owned manager offering Wealth Builder strategies, Income Generator, and a series of Global and New Zealand sector portfolios.

See all funds from NZ Funds →

Head-to-head

Compare NZ Funds Global Bonds with…

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

Peer funds

Other International FI funds

View all →

AI & integrations

Use this fund inside the tools you already use

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Frequently asked questions

Mechanical Q&A grounded in the fund's PDS, SIPO, and latest QFU on the FMA Disclose register. Verify against the source before relying on any of this.

Who manages the NZ Funds Global Bonds?

NZ Funds Global Bonds is managed by NZ Funds. NZ-owned manager offering Wealth Builder strategies, Income Generator, and a series of Global and New Zealand sector portfolios.

What asset class is the NZ Funds Global Bonds?

It is a international fi managed fund. The fund has a conservative risk profile. Funds investing in fixed-income securities issued outside New Zealand, typically with currency hedging back to NZD.

What are the fees for the NZ Funds Global Bonds?

The annual fund charge for the NZ Funds Global Bonds is 1.44% p.a., as reported in the latest Quarterly Fund Update sourced from the FMA Disclose register. Always check the current PDS for any additional fees.

What is the risk indicator for the NZ Funds Global Bonds?

The risk indicator is 4/7 on the standardised FMA-mandated scale, where 1 is lower risk and 7 is higher risk. The risk indicator is calculated from the fund's price volatility over the past five years and is published in every Quarterly Fund Update.

Is the NZ Funds Global Bonds a PIE fund?

Yes. The NZ Funds Global Bonds is structured as a New Zealand Portfolio Investment Entity (PIE). Investor tax on the fund's income is capped at the investor's Prescribed Investor Rate (PIR), which has a maximum of 28%. Most NZ-resident retail investors with a taxable income at or below NZ$48,000 qualify for a lower PIR.

How big is the NZ Funds Global Bonds?

Fund size (assets under management) is NZ$137 million as at the latest Quarterly Fund Update. Asset mix is approximately 0% growth assets and 100% income assets.

What does the NZ Funds Global Bonds invest in?

The latest published top holdings are: Westpac Bank Bill 2.5% 20/04/2026 (18.23%), Westpac Bank Bill 2.49% 13/04/2026 (14.92%), BNZ Bank Bill 2.515% 18/06/2026 (9.08%). Holdings are disclosed in each Quarterly Fund Update; the full portfolio holdings file is also available via the FMA Disclose register.

How can I invest in the NZ Funds Global Bonds?

The NZ Funds Global Bonds is available via NZ Funds directly. Always read the current Product Disclosure Statement before investing.