ManagedFunds.nz

Annual fund charge

0.58%

vs peer avg 0.66%

Risk indicator

4/7

1 = lower risk · 7 = higher risk

5-year return p.a.

0.56%

peer avg 1.15%

Fund size

NZ$580.7m

0% growth · 100% income

The underlying investment exposure is predominantly to debt securities issued by supranationals, international governments, quasi-government agencies and corporates as well as structured credit securities including mortgage-backed and asset backed securities. The underlying investment portfolio may also be exposed to low grade or unrated debt securities, emerging market securities and currency. The Fund employs certain investment exclusions, please refer to the SIPO for further details. Derivatives may be used to obtain or reduce exposure to securities and markets
— Russell Investments

About this category

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

About Russell Investments

Global multi-manager firm running diversified and sector index funds in NZ.

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