Updates
The PDS contains detailed information about the Perpetual Select Investment Funds such as the benefits, risks and fees and charges.
The PDS refers to other information relevant to the product (information which is ‘incorporated by reference’) which can be found below. This incorporated information forms part of the PDS and should be read together with the main PDS document above.
Transaction costs and buy/sell spreads
Details of current underlying specialist investment managers
These documents are relevant to features offered in select investment funds.
Direct Debit Request Service Agreement
Ongoing Annual fees and costs reflecting the financial year ended 30 June 2024
Perpetual’s Privacy Policy includes information about how you may access and seek correction of personal information held by us, make a complaint to us if you have concerns about how we have handled your personal information, how we will deal with such complaints and whether we may disclose personal information to overseas recipients.
We may update information in the PDS by issuing a supplementary PDS. However, if product updates are not materially adverse we will notify you via our website. Any updates should be read together with the main PDS document above.
The following product updates apply since the issue of the PDS.
Update to Specialist Investment Manager Information
We may update information in the PDS by issuing a supplementary PDS. However, if product updates are not materially adverse we will notify you via our website. Any updates should be read together with the main PDS document above.
Notice date |
Nature of change |
Impact of the change |
Further information |
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9 October 2024 |
PDS Update: Fees and Costs information |
The information in the PDS and Additional Information about fees and costs is replaced by the information in the attached document. Product information on transaction costs and buy-sell spreads is replaced by the information in the attached document. For full details on fees and costs, read the PDS together with this update. |
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10 July 2024 |
Update to specialist investment manager information. |
The details of current underlying specialist investment managers have been updated. |
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27 June 2024 |
Update to specialist investment manager information. |
The details of current underlying specialist investment managers have been updated. |
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29 May 2024 |
Update to specialist investment manager information |
The details of current underlying specialist investment managers have been updated. |
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29 April 2024 |
PDS Reissue |
A new PDS for the Perpetual Select Investment Funds PDS has been issued. The new PDS contains:
Documents incorporated by reference by the PDS have also been updated. Please read the flyer to investors regarding these changes and PDS for additional information or ask us for a copy free of charge by contacting us on 1800 022 033. |
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9 October 2023 |
PDS Update: Fees and Costs information |
The information in the PDS and Additional Information about fees and costs is replaced by the information in the attached document. For full details on fees and costs, read the PDS together with this update. |
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25 September 2023 |
Changes to SRM |
The Standard Risk Measure (SRM) for Funds may change over time for various reasons, including from review of the underlying capital market assumptions that are used in their calculation and future changes to asset allocations by the investment manager. Effective 25 September, the SRM has changed, following an annual review.
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1 March 2023 |
SPDS Update: Update to investment profiles |
Following a review of the investment strategies, the following changes will take effect from 1 March 2023 in respect of some of the Funds
A Supplementary Product Disclosure Statement is now available incorporating the above changes. |
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1 February 2023 |
Changes to Buy/Sell spreads |
Effective 1 February 2023, the buy/sell spreads for the funds have changed. Please see “Transaction costs and Buy-Sell Spreads” document. |
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1 October 2022 |
PDS Update: Fees and Costs information |
The information in the PDS about fees and costs is replaced by the information in the attached document. For full details on fees and costs, read the PDS together with this update. . |
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10 August 2022 |
Termination of Investment Option |
Effective 14th September we are terminating the following investment option within the Select Investment Funds: See attached flyer for details. |
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30 June 2022 |
PDS Update: Perpetual Select Fixed Income profile changes |
See attached flyer for details. |
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1 February 2022 |
PDS Update: Transaction Cost and buy/sell spread document updated |
This incorporated document has now been replaced with 1 February 2022 information now available. |
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5 October 2021 |
PDS Update: Inquiries and complaints |
There are legislative changes applying to complaints handling effective from 5 October 2021. The information in the PDS in relation to inquiries and complaints is now updated as set out in the flyer. |
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1 October 2021 |
Changes to SRM |
The Standard Risk Measure (SRM) for Funds may change over time for various reasons, including as a result of reviews of the underlying capital market assumptions that are used in their calculation and future changes to asset allocations by the investment manager. Effective 1 October, the SRM has changed, following an annual review.
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17 September 2021 |
Updated disclosure regarding distribution payments |
Updates to disclosure to clarify that distribution components may include capital. |
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1 April 2021 |
Changes to Buy/Sell Spreads |
Effective 1 April 2021, the buy/sell spreads for the funds have changed. Please see “Transaction costs and Buy/Sell Spreads document.” |
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29 January 2021 |
Update to Specialist Investment Manager Information |
The details of current underlying specialist investment managers have been updated. For further information see attached flyer. |
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7 December 2020 |
Update to Specialist Investment Manager Information |
The details of current underlying specialist investment managers have been updated. For further information see attached flyer. |
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17 September 2020 |
Termination of Investment options |
Effective 21 October we are terminating the following investment options within the Select Investment Funds:
Please refer to the letter on Select Investment Funds terminations for more information. |
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7 September 2020 |
PDS Update: Transaction Cost and buy/sell spread document updated |
This incorporated document has now been replaced with 7 September 2020 information now available. Buy/sell spread for Select Growth Fund has been amended from 0.30%/0.00% to 0.27%/0.00%. |
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3 September 2020 |
Changes to Select Investment Management Fees, Rebates and investment options. |
Effective 1 October 2020, there are a number of changes to:
Please read the flyers on Changes to Investments and Changes to Fees for more information. Download the Select Investment Funds Changes letter. |
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10 July 2020 |
PDS Update: Transaction Cost & Buy/Sell spread document updated |
This incorporated document has now been replaced with 10 July 2020 information now available. For further information see attached flyer. |
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3 July 2020 |
PDS Update: Transaction Cost & Buy/Sell spread document updated |
This incorporated document has now been replaced with 3 July 2020 information now available. For further information see attached flyer. |
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19 June 2020 |
PDS Update: Transaction Cost & Buy/Sell spread document updated |
This incorporated document has now been replaced with 19 June 2020 information now available. For further information see attached flyer. |
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29 May 2020 |
PDS Update: Transaction Cost & Buy/Sell spread document updated |
This incorporated document has now been replaced with 29 May 2020 information now available. For further information see attached flyer. |
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24 April 2020 |
PDS Update: Transaction Cost & Buy/Sell spread document updated |
This incorporated document has now been replaced with 24 April 2020 information now available. For further information see attached flyer. |
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20 March 2020 |
PDS Update: Transaction Cost & Buy/Sell spread document updated |
This incorporated document has now been replaced with 20 March 2020 information now available. For further information see attached flyer. |
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25 October 2019 |
Fixed Income Currency Hedging |
From 25 October 2019 - The investment approach of the Perpetual Select Fixed Income Fund has been amended to include active currency management of international assets. |
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30 June 2019 |
PDS Reissue |
The Select Investment Funds PDS has been reissued. The PDS contains updated fees and costs information. In addition, it also contains changes in the basis for calculating the base fee rebate from month-end balance to average daily balance over the quarter. |
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29 May 2019 |
Base fee rebate calculation |
From 1 July 2019, the basis for calculating the base fee rebate will be changed from month-end balance to average daily balance over the quarter. For the period 1 July 2008 to 30 June 2019, we have calculated the base management fee rebate based on the average daily balance instead of the month end balance. Investors that were negatively impacted by this error you will be notified separately and will receive a compensation payment. You can download the ‘Changes to calculation of the base fee rebate” letter that was sent to investors here. |
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1 May 2019 |
Reduction of Buy spreads |
Effective from 1 May 2019, the buy spreads of the following funds will be reduced:
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31 January 2019 |
Introduction of tobacco securities investment restriction on Australian Shares & International Shares asset classes |
From 31 January 2019, for Australian and international shares asset classes, Perpetual will not permit its specialist investment managers (including itself) to invest in companies that are manufacturers of cigarettes and other tobacco products as defined under Global Industry Classification Standard 302030 as a Tobacco company. For all asset classes other than Australian and international shares, we consider a specialist investment managers’ policies and practices regarding environmental, social and governance (ESG) factors and labour standards only to the extent that they may have an effect on the manager’s style and investment performance. We will neither choose nor exclude a specialist investment manager solely on their ESG and labour standards policies/practices (except for managers of Australian and international shares), but such policies/practices will contribute to our overall assessment of the manager’s style and capability. |
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1 October 2018 |
PDS Update: Transaction Cost & Buy/Sell spread document updated |
This incorporated document has now been replaced with 30 June 2018 information now available. For further information see attached flyer. |
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11 September 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. Please refer to this transitional disclosure for more information. |
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1 February 2018 |
Reduction of Buy spreads |
Effective from 1 February 2018, the buy spreads of the following funds will be reduced:
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16 November 2017 |
No performance fee cap applicable for any specialist investment managers | Effective on and from 16 December 2017, no performance-related fee cap will be applicable for any specialist investment managers of Single and Multi-sector funds (unless otherwise agreed to in the agreement between the specialist investment manager and Perpetual).
Performance-related fees are payable when a specialist investment manager outperforms a defined performance hurdle (benchmark), for a defined period of time. The maximum performance-related fee rate up to 25% of outperformance for specialist investment managers (other than for alternative assets) still remains. For more details, refer to the Performance-related fees section in PDS. |
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1 November 2017 |
PDS Update: |
Effective 1 November 2017, some investment options will have
The investment options with changes are: Multi asset Conservative, Diversified, Balanced, Growth, Geared High Growth Single asset Real Estate, International Share Fund This follows our strategic asset allocation review. Read the attached notice for details about these changes. |
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29 September 2017 |
AMIT Regime |
Perpetual has elected into the Attribution Managed Investment Trust (AMIT) Regime for the year ending 30 June 2018 and subsequent years. |
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22 June 2017 |
Changes to the constitution of the Fund/s |
Perpetual has made changes to the constitutions for our Funds to allow them to be operated as Attribution Managed Investment Trusts. These changes will apply only from the time an election is made by Perpetual to adopt the AMIT regime for the relevant Fund. We will provide notification on the website if/when this election occurs. |
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1 June 2017 |
PDS update |
The replacement Select Investment Funds PDS has been issued. It contains updated information in relation to your investment including:
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26 May 2017 |
Proposed Changes to the constitution of the Fund/s |
Perpetual is proposing making changes to the constitutions for our Funds to allow them to be operated as Attribution Managed Investment Trusts (AMIT) Find out more here |
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17 March 2017 |
Perpetual Select Investment Funds – Fixed Income: Change of buy/sell spread |
Effective 18 April 2017, the buy/sell spread for the fixed income investment option will change as follows:
The new buy/sell spread reflects increased transaction costs involved with fixed income investment option. The increased spread will not impact your current investments, only future investments and switches into fixed income investment option. The buy/sell spread for all other investment options remain unchanged. Buy/sell spreads may change from time to time. The current buy-sell spread for each investment option is available on this page under the section: Product Information Incorporated by Reference |
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From 22 December 2016 |
Investment changes to the single-asset class investment options of Select Investments |
From 22 December 2016, we are making changes to the following single-asset class investment options:
The changes will impact investment guidelines by:
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