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SUPERLIFE KIWISAVER SCHEME

PDS change history

Each Product Disclosure Statement (PDS) issued for the SUPERLIFE KIWISAVER SCHEME is archived here. PDS changes describe the scheme as a whole — fee schedule, currency hedging policy, performance fee structure, service providers — so all funds in the scheme share this history.

Per-PDS readings

PDS as atManagement feeBuy/sell spreadMember feePerformance feeCurrency hedgingExternal managerCustodianSupervisor
25 May 20260.5630Smartshares LimitedPublic TrustPublic Trust
31 May 2024Smartshares LimitedBNP ParibasPublic Trust
28 August 2023Smartshares LimitedPublic TrustPublic Trust
30 June 2020

What changed

Each consecutive PDS pair, with field-level diffs. Severity reflects how impactful the change is for an investor: a 10bp management-fee move is MATERIAL; a service- provider swap is also material; cosmetic re-wording is MINOR.

31 May 2024 25 May 2026

3 changes
  • Management feeMAJOR
    0.56
  • Member feeMAJOR
    30
  • CustodianMATERIAL
    BNP Paribas Public Trust

28 August 2023 31 May 2024

1 change
  • CustodianMATERIAL
    Public Trust BNP Paribas

30 June 2020 28 August 2023

3 changes
  • External managerMAJOR
    Smartshares Limited
  • CustodianMAJOR
    Public Trust
  • SupervisorMAJOR
    Public Trust

Data sources

  • FMA Disclose register — Product Disclosure Statements
  • Provider websites — issuer-published PDS PDFs

Field extraction is regex-based. We surface what the PDS literally says so you can verify against the source PDF. General information only — not financial advice.

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KiwiSaver

This website is operated by FundCompare.co.nz and is not endorsed by, or affiliated with, the New Zealand government or Inland Revenue. FundCompare.co.nz is using the KiwiSaver trade mark and logo under licence from Inland Revenue. To view the official New Zealand government KiwiSaver website, please click here.