QUAYSTREET KIWISAVER SCHEME
SIPO change history
Each Statement of Investment Policy and Objectives (SIPO) issued for the QUAYSTREET KIWISAVER SCHEME is archived here. SIPO changes describe the scheme's investment strategy — asset-allocation ranges, hedging policy, derivatives use, ESG framework, external managers — so all funds in the scheme share this history.
Per-SIPO readings
| SIPO as at | Investment objective | Asset allocation ranges | Currency hedging policy | ESG / responsible investment policy | External investment manager | Derivatives policy | Performance fee structure |
|---|---|---|---|---|---|---|---|
| 31 December 2025 | Investment objective Designed for investors that want an investment in New Zealand and international fixed interest. … | {"cash":"18-100%","nz_equities":"7%0%","intl_equities":"20%0%","listed_property":"1.5%0%","nz_fixed_interest":"40%0%"… | — | {"mentions":33,"verbatim":"..........................................................................................… | external manager to meet the objective of the fund. Smartshares recognises that environmental, social and governance … | Derivatives .........................................................................................................… | — |
Diff appears next SIPO
We have one SIPO on file. The first comparison appears once the next SIPO is ingested — typically when the issuer publishes a revised SIPO (cadence varies; usually annual or on material change).
Data sources
- FMA Disclose register — Statements of Investment Policy and Objectives
- Provider websites — issuer-published SIPO PDFs
SIPO field extraction uses FMA-mandated section anchors. Long fields (objective, ESG verbatim, derivatives policy) are truncated in the table — verify against the source PDF for the full text. General information only — not financial advice.
Compare every fund on the FMA Disclose register. Refreshed quarterly. Independent — FundCompare is not a Financial Advice Provider; general information only.
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