Fund manager
Pathfinder
Pathfinder Asset Management Limited
Ethical-investment specialist with global responsibility, water and trans-Tasman funds.
- Funds tracked
- 5
- Headquarters
- Auckland
Peer managers
Other NZ managers in International Equities
Scheme governance
Audit, trustee, history
Diversified Funds
Aggressive, growth, balanced and conservative one-stop funds.
Australasian Equities
NZ and Trans-Tasman shares — active, index and ETF wrappers.
International Equities
Global, US, Europe, Asia, emerging markets and thematic.
Listed Property
NZ, Australian and global REITs.
Documents
Every PDS, SIPO, Quarterly Fund Update and supporting filing we've crawled directly from Pathfinder, hashed and timestamped.See methodology.
- Product Disclosure Statementverified 2026-05-08
- Statement of Investment Policyverified 2026-05-08
- Other Material Informationverified 2026-05-08
- Supporting documentverified 2026-05-08
- Supporting documentverified 2026-05-08
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- Supporting documentverified 2026-05-08
- Supporting documentverified 2026-05-08
- Supporting documentverified 2026-05-08
- Supporting documentverified 2026-05-08
- Product Disclosure Statementverified 2026-05-08
- Statement of Investment Policyverified 2026-05-08
- Other Material Informationverified 2026-05-08
- Supporting documentverified 2026-05-08
- Supporting documentverified 2026-05-08
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- Supporting documentverified 2026-05-08
- Supporting documentverified 2026-05-08
- Supporting documentverified 2026-05-08
- Product Disclosure Statementverified 2026-05-08
- Statement of Investment Policyverified 2026-05-08
- Other Material Informationverified 2026-05-08
- Supporting documentverified 2026-05-08
- Supporting documentverified 2026-05-08
- Supporting documentverified 2026-05-08
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- Supporting documentverified 2026-05-08
- Supporting documentverified 2026-05-08
- Supporting documentverified 2026-05-08
- Supporting documentverified 2026-05-08
- Product Disclosure Statementverified 2026-05-08
- Statement of Investment Policyverified 2026-05-08
- Other Material Informationverified 2026-05-08
- Supporting documentverified 2026-05-08
- Supporting documentverified 2026-05-08
- Supporting documentverified 2026-05-08
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- Supporting documentverified 2026-05-08
- Supporting documentverified 2026-05-08
- Supporting documentverified 2026-05-08
- Product Disclosure Statementverified 2026-05-08
- Statement of Investment Policyverified 2026-05-08
- Other Material Informationverified 2026-05-08
- Supporting documentverified 2026-05-08
- Supporting documentverified 2026-05-08
- Supporting documentverified 2026-05-08
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- Supporting documentverified 2026-05-08
- Supporting documentverified 2026-05-08
Questions about Pathfinder
How many managed funds does Pathfinder offer in New Zealand?▾
Pathfinder runs 5 retail managed funds available to New Zealand investors, across 4 asset classes: Diversified Funds, Australasian Equities, International Equities, Listed Property. Counts are taken from the FMA Disclose register.
What does Pathfinder charge?▾
Annual fund charges across Pathfinder's 5 funds with published data range from 0.93% to 1.31% per year. The charge is deducted from the fund, not billed separately. Figures come from each fund's Quarterly Fund Update via the FMA Disclose register.
Is Pathfinder a licensed fund manager in New Zealand?▾
Pathfinder operates in New Zealand as Pathfinder Asset Management Limited. Managed investment schemes offered to NZ retail investors must be registered on the FMA Disclose register and operated by a licensed manager with a licensed supervisor. Each fund page links to its Disclose record so the registration can be checked directly.
Are Pathfinder's funds PIEs?▾
5 of Pathfinder's 5 funds are Portfolio Investment Entities (PIE). A PIE taxes investment income at your Prescribed Investor Rate, capped at 28%, rather than at your marginal income tax rate.
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