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Fisher FuturePlan - Growth

22846
=
0.00
-
-
  • Previous Close

    0.00

  • Net Assets

    68.88m

  • Yield

    0.00%

  • Front load

    0.00

  • Expenses

    -

  • Category

    Multi-sector – Aggressive

  • Morningstar Risk

    Below Average

  • Morningstar Rating ★★★
Profile

Name of Issuer

Fisher Funds Management Limited

Fund Style

Open

Fund Manager

Investment Style

-

Invests in international shares, New Zealand shares, property, minimal cash and fixed interest securities. Asset allocation ranges (with benchmarks in brackets): property 0-20% (10%), international shares 35-75% (60%), NZ shares 5-35% (20%), NZ cash/fixed interest securities 0-20% (4%), global bonds 0-20% (3%), NZ bonds 0-20% (3%).

Purchase Information

Initial Purchase 5,000
Initial Purchase: IRA NA
Initial Purchase: AIP NA

Inception

1/09/1993

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