ANZ KIWISAVER SCHEME
PDS change history
Each Product Disclosure Statement (PDS) issued for the ANZ 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 at | Management fee | Buy/sell spread | Member fee | Performance fee | Currency hedging | External manager | Custodian | Supervisor |
|---|---|---|---|---|---|---|---|---|
| 30 September 2025 | 0.98 | — | — | — | — | — | The New Zealand Guardian Trust | and custodian The New Zealand Guardian Trust Company Limited The supervisor |
Diff appears next PDS
We have one PDS on file. The first comparison appears once the next PDS is ingested — typically when the issuer publishes a revised PDS (cadence varies; usually once or twice a year).
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.