Funds

Amova Global Equity Multi-Manager Unhedged Fund

Total Ethical Concerns: 14.96%

The average total concerns of all managed aggressive funds is 12.02%.

Companies of Concern

  • Environmental Harm 1.66%

    • The Coca-Cola Company
      0.57%
      ocean
      This company is harming the ocean
    • Coca-Cola Bottler
      0.49%
      ocean
      This company is harming the ocean
    • Corteva, Inc.
      0.41%
      ocean
      This company is harming the ocean
    • 3M
      0.18%
      ocean
      This company is harming the ocean
  • Fossil Fuels 2.63%

    • Exxon Mobil Corp.
      0.73%
      !!
      This company is expanding their fossil fuel production and is off track with the UN target to limit global temperature rise to 1.5°C
      ocean
      This company is harming the ocean
    • The Southern Co.
      0.71%
    • Baker Hughes
      0.51%
      ocean
      This company is harming the ocean
    • Dominion Energy, Inc.
      0.26%
      ocean
      This company is harming the ocean
    • Nextera Energy, Inc.
      0.24%
      ocean
      This company is harming the ocean
    • Worley
      0.18%
      ocean
      This company is harming the ocean
  • Animal Cruelty 2.31%

    • Exxon Mobil Corp.
      0.73%
      !!
      This company is expanding their fossil fuel production and is off track with the UN target to limit global temperature rise to 1.5°C
      ocean
      This company is harming the ocean
    • Corteva, Inc.
      0.41%
      ocean
      This company is harming the ocean
    • L'Oréal SA
      0.41%
    • 3M
      0.18%
      ocean
      This company is harming the ocean
    • Shin-Etsu Chemical Co., Ltd.
      0.14%
  • Human Rights Violations 6.22%

    • Volvo Group
      0.56%
      OPT
      Complicit in severe breaches of civilian Human Rights in Occupied Palestinian Territories
    • Heidelberg Materials
      0.49%
      OPT
      Complicit in severe breaches of civilian Human Rights in Occupied Palestinian Territories
    • Wells Fargo
      0.48%
    • Booking Holdings
      0.41%
      OPT
      Complicit in severe breaches of civilian Human Rights in Occupied Palestinian Territories
    • Tesla
      0.28%
    • UBS
      0.22%
    • Expedia Group
      0.12%
      OPT
      Complicit in severe breaches of civilian Human Rights in Occupied Palestinian Territories
  • Social Harm 0.22%

  • Weapons 3.24%

    • Rolls-Royce Holdings PLC
      0.84%
      OPT
      Complicit in severe breaches of civilian Human Rights in Occupied Palestinian Territories
    • BAE Systems plc
      0.62%
      OPT
      Complicit in severe breaches of civilian Human Rights in Occupied Palestinian Territories
    • Safran SA
      0.54%
    • Amphenol Corp.
      0.41%
    • Transdigm Group, Inc.
      0.33%
    • Curtiss-Wright Corp.
      0.29%
    • Howmet Aerospace, Inc.
      0.21%

From the Fund Provider

  • About this fund

    About this Fund

    The fund aims to outperform the MSCI All Countries World Index (net dividends reinvested), in New Zealand Dollars (unhedged) by 3.0% p.A. Over a rolling three-year period before fees, expenses and taxes. The fund aims to provide investors with long term growth from an actively managed investment portfolio selected from global equity markets. No foreign currency hedging is undertaken in this fund.

    Value $43.6M NZD
    Period of data report 30th Sept. 2025
    Fund started 15th Jan. 2013
    Total annual fund fees 1.42%
    Total performance based fees 0.0%
    Manager's basic fee 1.42%
    Other management and administration charges 0.0%
    Total other charges 0.0
    Total other charges currency NZD

    Alan Clarke

    Currently: Portfolio Manager, Diversified Funds & External Managers and member of the Investment Committee (2 years, 0 months)
    Previously: Co-head of Diversified Portfolio Management - ANZ Investments (3 years, 8 months)

    Stuart Williams

    Currently: Managing Director and Chair of Investment Committee (2 years, 6 months)
    Previously: Head of Equities – Amova Asset Management New Zealand Limited (8 years, 7 months)

    This information has been sourced from the quarterly data that each fund has filed with Disclose register to 30th Sept. 2025.

  • Past Returns

    Past Returns

    Past annual returns for this fund are after fees and taxes. Please note that higher past returns do not always mean higher future returns.

    Year Market Average Fund Annual Return
    2025 4.07% 10.36%
    2024 15.78% 37.34%
    2023 -4.85% 0.99%
    2022 3.53% 7.64%
    2021 35.55% 35.76%
    2020 -7.06% 5.27%
    2019 10.17% 8.46%
    2018 7.53% 10.65%
    2017 9.49% 8.4%
    2016 4.71% 5.64%

    The market average is the average return for funds of the same risk category, sourced from the Commission for Financial Capability's Sorted website. The fund information has been sourced from the quarterly data that each fund has filed with Disclose register to 30th Sept. 2025.

  • Investments

    Top 10 Investments

    • Jpm Global Select Equity X Acc USD

      Luxembourg International Equities

      31.83%
    • Life Cycle Concentrated Global Share Fund Class Z

      Australia International Equities

      27.31%
    • Applovin Corp

      United States International Equities

      2.43%
    • Microsoft Corp

      United States International Equities

      1.8%
    • Nvidia Corp

      United States International Equities

      1.74%
    • Amazon Com Inc

      United States International Equities

      1.67%
    • NZD BNP Paribas A/C

      New Zealand Cash and Equivalents AA-

      1.21%
    • Saab Ord Shs Class B

      Sweden International Equities

      0.95%
    • Taiwan Semicon Manufacturing Co Ltd

      Taiwan, Province of China International Equities

      0.93%
    • 3I Group PLC

      United Kingdom International Equities

      0.85%
    Type Target Actual
    Cash and Cash Equivalents 0.0% 1.86%
    New Zealand Fixed Interest 0.0% 0.0%
    International Fixed Interest 0.0% 0.0%
    Australasian Equities 0.0% 0.0%
    International Equities 100.0% 98.14%
    Listed Properties 0.0% 0.0%
    Unlisted Properties 0.0% 0.0%
    Other 0.0% 0.0%
    Commodities 0.0% 0.0%

    Investment Mix

    How the money in this fund is invested by asset type.

    This information has been sourced from the quarterly data that each fund has filed with Disclose register to 30th Sept. 2025.

This data is compiled by Mindful Money from the fund information and portfolios that each fund has filed with the Disclose register to 30th Sept. 2025 and Mindful Money analysis of funds within those portfolios. The list of companies of concern has been drawn from ratings agencies and public sources, including the Norwegian Sovereign Fund, NZ Super Fund, Sustainalytics and research organisations.

Please note that companies may breach more than one of these areas of concern.

The listing of companies of concern is based on definitions used in Mindful Money's methodology. These definitions may be different from the exclusions policy and definitions applied by the fund provider.

Mindful Money uses the term Mindful Funds as our standard for ethical investment and responsible investment. This does not imply that other funds are unethical or that the fund providers that do not meet these standards are unethical providers.

Issues of Concern

  • 1.66% Environmental Harm
  • 2.63% Fossil Fuels
  • 2.31% Animal Cruelty
  • 6.22% Human Rights Violations
  • 0.22% Social Harm
  • 3.24% Weapons

Companies of Concern

  • Environmental Harm

    • The Coca-Cola Company
      0.57%
      ocean
      This company is harming the ocean
    • Coca-Cola Bottler
      0.49%
      ocean
      This company is harming the ocean
    • Corteva, Inc.
      0.41%
      ocean
      This company is harming the ocean
    • 3M
      0.18%
      ocean
      This company is harming the ocean
  • Fossil Fuels

    • Exxon Mobil Corp.
      0.73%
      !!
      This company is expanding their fossil fuel production and is off track with the UN target to limit global temperature rise to 1.5°C
      ocean
      This company is harming the ocean
    • The Southern Co.
      0.71%
    • Baker Hughes
      0.51%
      ocean
      This company is harming the ocean
    • Dominion Energy, Inc.
      0.26%
      ocean
      This company is harming the ocean
    • Nextera Energy, Inc.
      0.24%
      ocean
      This company is harming the ocean
    • Worley
      0.18%
      ocean
      This company is harming the ocean
  • Animal Cruelty

    • Exxon Mobil Corp.
      0.73%
      !!
      This company is expanding their fossil fuel production and is off track with the UN target to limit global temperature rise to 1.5°C
      ocean
      This company is harming the ocean
    • Corteva, Inc.
      0.41%
      ocean
      This company is harming the ocean
    • L'Oréal SA
      0.41%
    • 3M
      0.18%
      ocean
      This company is harming the ocean
    • Shin-Etsu Chemical Co., Ltd.
      0.14%
  • Human Rights Violations

    • Volvo Group
      0.56%
      OPT
      Complicit in severe breaches of civilian Human Rights in Occupied Palestinian Territories
    • Heidelberg Materials
      0.49%
      OPT
      Complicit in severe breaches of civilian Human Rights in Occupied Palestinian Territories
    • Wells Fargo
      0.48%
    • Booking Holdings
      0.41%
      OPT
      Complicit in severe breaches of civilian Human Rights in Occupied Palestinian Territories
    • Tesla
      0.28%
    • UBS
      0.22%
    • Expedia Group
      0.12%
      OPT
      Complicit in severe breaches of civilian Human Rights in Occupied Palestinian Territories
  • Weapons

    • Rolls-Royce Holdings PLC
      0.84%
      OPT
      Complicit in severe breaches of civilian Human Rights in Occupied Palestinian Territories
    • BAE Systems plc
      0.62%
      OPT
      Complicit in severe breaches of civilian Human Rights in Occupied Palestinian Territories
    • Safran SA
      0.54%
    • Amphenol Corp.
      0.41%
    • Transdigm Group, Inc.
      0.33%
    • Curtiss-Wright Corp.
      0.29%
    • Howmet Aerospace, Inc.
      0.21%

About this Fund

The fund aims to outperform the MSCI All Countries World Index (net dividends reinvested), in New Zealand Dollars (unhedged) by 3.0% p.A. Over a rolling three-year period before fees, expenses and taxes. The fund aims to provide investors with long term growth from an actively managed investment portfolio selected from global equity markets. No foreign currency hedging is undertaken in this fund.

Value $43.6M NZD
Period of data report 30th Sept. 2025
Fund started 15th Jan. 2013
Total annual fund fees 1.42%
Total performance based fees 0.0%
Manager's basic fee 1.42%
Other management and administration charges 0.0%
Total other charges 0.0
Total other charges currency NZD

Alan Clarke

Currently: Portfolio Manager, Diversified Funds & External Managers and member of the Investment Committee (2 years, 0 months)
Previously: Co-head of Diversified Portfolio Management - ANZ Investments (3 years, 8 months)

Stuart Williams

Currently: Managing Director and Chair of Investment Committee (2 years, 6 months)
Previously: Head of Equities – Amova Asset Management New Zealand Limited (8 years, 7 months)

This information has been sourced from the quarterly data that each fund has filed with Disclose register to 30th Sept. 2025.

Past Returns

Past annual returns for this fund are after fees and taxes. Please note that higher past returns do not always mean higher future returns.

Year Market Average Fund Annual Return
2025 4.07% 10.36%
2024 15.78% 37.34%
2023 -4.85% 0.99%
2022 3.53% 7.64%
2021 35.55% 35.76%
2020 -7.06% 5.27%
2019 10.17% 8.46%
2018 7.53% 10.65%
2017 9.49% 8.4%
2016 4.71% 5.64%

The market average is the average return for funds of the same risk category, sourced from the Commission for Financial Capability's Sorted website. The fund information has been sourced from the quarterly data that each fund has filed with Disclose register to 30th Sept. 2025.

Top 10 Investments

  • Jpm Global Select Equity X Acc USD

    Luxembourg International Equities

    31.83%
  • Life Cycle Concentrated Global Share Fund Class Z

    Australia International Equities

    27.31%
  • Applovin Corp

    United States International Equities

    2.43%
  • Microsoft Corp

    United States International Equities

    1.8%
  • Nvidia Corp

    United States International Equities

    1.74%
  • Amazon Com Inc

    United States International Equities

    1.67%
  • NZD BNP Paribas A/C

    New Zealand Cash and Equivalents AA-

    1.21%
  • Saab Ord Shs Class B

    Sweden International Equities

    0.95%
  • Taiwan Semicon Manufacturing Co Ltd

    Taiwan, Province of China International Equities

    0.93%
  • 3I Group PLC

    United Kingdom International Equities

    0.85%
Type Target Actual
Cash and Cash Equivalents 0.0% 1.86%
New Zealand Fixed Interest 0.0% 0.0%
International Fixed Interest 0.0% 0.0%
Australasian Equities 0.0% 0.0%
International Equities 100.0% 98.14%
Listed Properties 0.0% 0.0%
Unlisted Properties 0.0% 0.0%
Other 0.0% 0.0%
Commodities 0.0% 0.0%

Investment Mix

How the money in this fund is invested by asset type.

This information has been sourced from the quarterly data that each fund has filed with Disclose register to 30th Sept. 2025.

This data is compiled by Mindful Money from the fund information and portfolios that each fund has filed with the Disclose register to 30th Sept. 2025 and Mindful Money analysis of funds within those portfolios. The list of companies of concern has been drawn from ratings agencies and public sources, including the Norwegian Sovereign Fund, NZ Super Fund, Sustainalytics and research organisations.

Please note that companies may breach more than one of these areas of concern.

The listing of companies of concern is based on definitions used in Mindful Money's methodology. These definitions may be different from the exclusions policy and definitions applied by the fund provider.

Mindful Money uses the term Mindful Funds as our standard for ethical investment and responsible investment. This does not imply that other funds are unethical or that the fund providers that do not meet these standards are unethical providers.