Fund manager
ASB Group Investments Limited
ASB Group Investments Limited manages 6 KiwiSaver scheme funds across 1 scheme, with combined assets of $20.28B.
Identifiers
- Manager type
- NZ Limited Company
- FSPR registration
- FSP FSP29024 · verify on FSPR ↗
- NZBN
- 9429039025791 · verify on NZBN ↗
- Average annual fee across managed funds
- 0.57%
ASB — 6 funds
| Fund | Type | Annual fee | 5y avg return | Fund size |
|---|---|---|---|---|
| Growth Fund | Growth | 0.70% | 7.50% | $6869M |
| Moderate Fund | Balanced | 0.60% | 3.67% | $3112M |
| Aggressive Fund | Aggressive | 0.75% | No 5-year average return figure held. Recorded fund start date 22 November 2023 is less than five years before March 2026. | $1113M |
| NZ Cash Fund | Defensive | 0.35% | 2.18% | $921M |
| Conservative Fund | Conservative | 0.40% | 2.33% | $3704M |
| Balanced Fund | Growth | 0.65% | 5.71% | $4564M |
About “—” in return figures: it means no figure is held, not a return of zero. Of the 6 funds listed, 5 have a 5-year average return. Figures are drawn from fund disclosures on the FMA Disclose register, chiefly quarterly fund updates. Each fund shows the most recent figure held; the latest quarter broadly covered across all funds is March 2026. A fund too new to report a period has no figure for it; other gaps are figures not yet captured from the updates ingested so far.
Manager identity and FSP registration sourced from the most recent FMA-filed Quarterly Fund Update for each fund. Supervisor, custodian, and auditor relationships are typically disclosed in each scheme's Product Disclosure Statement and Statement of Investment Policy and Objectives.
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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