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Perpetual Wholesale International Share Fund

Perpetual Wholesale International Share Fund

Updates

Product disclosures

Continuous disclosures and important information

In this section, you can find updates to the PDS, significant events and continuous disclosure where we are required to provide you this information.

Any updates should be read together with the main PDS document above.

 

Notice date Nature of change Impact of change Further information
19 December 2024 New PDS document issued

Effective 19 December 2024, the Fund will be re-opened to new investors and additional investments by existing direct investors

As a result, we have updated and issued a new Product Disclosure Statement issue number 12 (PDS) for the Perpetual Wholesale International Share Fund effective 19 December 2024.

See attached flyer

8 April 2024 PDS page 2 update: '2. How Perpetual Wholesale International Share Fund Works'

We have updated the following statement in the PDS - Previous disclosure: 'The Fund is now closed to new investors'

to

New disclosure; 'The Fund is now closed to new investors. This includes new direct investors and new indirect investors that apply for additional investments in the Fund via a Services'.

 

14 November 2023 PDS Update: 'How we invest your money' Updates to 'How we invest your money' include enhancements to the Investment Approach and ESG disclosures contained in the PDS. Also, the 'Risk Level' has been amended.

See attached flyer

1 October 2022 Standard Risk Measure (SRM) The risk level for the Perpetual Wholesale International Share Fund has increased from 6 – High to 7 – Very High.

Refer to the PDS for more information.

1 February 2022 PDS Update: Transaction Cost document updated with buy/sell spread changes This incorporated document has been replaced with 1 February 2022 information now available.

See attached flyer

17 September 2021 Updated disclosure regarding distribution payments

Updates to disclosure to clarify that distribution components may include capital.

See attached flyer

23 June 2021 Standard Risk Measure (SRM)

The risk level for the Perpetual Wholesale International Share Fund found in the Perpetual Wholesale International Share Fund PDS issue number 11 dated 1 December 2020 has been amended.

See attached flyer

1 December 2020 New PDS document issued

Effective 1 December 2020, we have updated and issued a new Product Disclosure Statement issue number 11 (PDS) for the Perpetual Wholesale International Share Fund.

See attached flyer

28 September 2020 Perpetual Wholesale International Share Fund (“Fund”): Transition update

The transition of the Fund’s assets to Barrow, Hanley, Mewhinney & Strauss, LLC was completed on 9 September 2020. Details of the estimated transition costs incurred are available upon request.

For information, please email investments@perpetual.com.au, or phone us on 1800 022 033.

7 September 2020

PDS update: Changes to Perpetual Wholesale International Share Fund (the “Fund”)

PIML has appointed Barrow, Hanley, Mewhinney & Strauss, LLC (“Barrow Hanley”) as investment manager of the Fund and updated the investment strategy of the Fund.

The buy/sell spread of the Fund will reduce with Barrow Hanley managing the Fund.

Effective 1 October 2020, the management fee for the Fund will be reduced from 1.226% to 0.99%.

See attached flyer

4 September 2020

Management Costs - Figures for FY 2020

The Management Costs for the Fund, including estimated indirect costs, for the year ended 30 June 2020 is attached. This is additional information to help investors understand fees and costs on a year by year basis. This information does not update the PDS. See letter attached
4 September 2020

PDS Update: Transaction Cost document updated

This incorporated document has been replaced with 30 June 2020 information now available. See letter attached
27 July 2020

PDS update: Appointment of investment manager of the

Perpetual Wholesale International Share Fund (the “Fund”) and other associated changes

PIML intends to cease acting as the investment manager of the Fund and will appoint Barrow, Hanley, Mewhinney & Strauss, LLC (“Barrow Hanley”) as the investment Manager of the Fund.

It is intended that with the appointment of Barrow Hanley, changes may be made to the Fund’s:

  • investment strategy; and

  • fees and charges.

These changes are expected to occur by the end of September 2020, subject to the necessary documentation and other processes being in place.

Barrow Hanley will become a related party of PIML, and part of the Perpetual Group, with the proposed acquisition of a majority interest in Barrow Hanley by Perpetual Limited.
See letter attached
3 September 2019 Management Costs - Figures for FY 2019 The Management Costs for the Fund, including estimated indirect costs, for the year ended 30 June 2019 is attached. This is additional information to help investors understand fees and costs on a year by year basis. This information does not update the PDS. See attached flyer
3 September 2019 PDS Update: Transaction Cost document updated This incorporated document has been replaced with 30 June 2019 information now available. See attached flyer
15 October 2018 Change to external dispute resolution (EDR) scheme

From 1 November 2018, there will be a change to the EDR scheme which unresolved complaints can be referred to.

See attached flyer

17 September 2018 Management Costs - Figures for FY 2018 The Management Costs for the Fund, including estimated indirect costs, for the year ended 30 June 2018 is attached. This is additional information to help investors understand fees and costs on a year by year basis. This information does not update the PDS. See attached flyer
17 September 2018 PDS Update: Transaction Cost document updated This incorporated document has been replaced with 30 June 2018 information now available. See attached flyer
20 December 2017 Update to inquiries and complaints We have updated our procedures to now be able to receive complaints relating to your investment irrespective of whether you invest directly with Perpetual or invest via a platform. See attached flyer
9 October 2017 Management Costs - Figures for FY 2017

The Management Costs for the Fund, including estimated indirect costs, for the year ended 30 June 2017 is attached.

This is additional information to help investors understand fees and costs on a year by year basis. 

This information does not update the PDS.

See attached flyer
9 October 2017 PDS Update: Transaction Cost document updated This incorporated document has been replaced with 30 June 2017 information now available. See attached flyer
29 March 2017 Buy/sell spread change The Buy/Sell Spread for the Perpetual Wholesale International Share Fund has been amended. See attached flyer
1 March 2017 New PDS Document Issued Fees and costs disclosure for all investors. Information on AMIT Regime for all investors. See attached flyer

 

30 April 2017 distribution calculations

Fund Distribution Calculations 30 April 2017

 

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