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Fund manager

Booster Investment Management Limited

Booster Investment Management Limited manages 17 KiwiSaver scheme funds across 1 scheme, with combined assets of $5.01B.

Total funds managed
17
Schemes
1
Combined AUM
$5.01B
Combined members
166,753

Identifiers

Manager type
NZ Limited Company
FSPR registration
FSP FSP28142 · verify on FSPR ↗
NZBN
9429037597320 · verify on NZBN ↗
Average annual fee across managed funds
1.20%

Booster — 17 funds

FundTypeAnnual fee5y avg returnFund size
High Growth FundAggressive1.30%5.71%$955M
Moderate FundConservative1.08%2.23%$262M
Growth FundGrowth1.25%6.42%$163M
Default Saver FundBalanced0.35%No 5-year average return figure held. Recorded fund start date 1 December 2021 is less than five years before March 2026.$771M
Shielded Growth FundAggressive1.41%7.00%$14M
Asset Class Conservative FundConservative1.11%0.93%$25M
Geared Growth FundAggressive1.50%9.37%$719M
Socially Responsible Moderate FundConservative1.21%2.81%$81M
Socially Responsible High Growth FundAggressive1.35%8.85%$904M
Socially Responsible Geared Growth FundAggressive1.46%No 5-year average return figure held. Recorded fund start date 30 March 2022 is less than five years before March 2026.$166M
Balanced FundBalanced1.19%4.87%$23M
Asset Class Growth FundAggressive1.37%6.35%$151M
Socially Responsible Balanced FundBalanced1.33%5.25%$441M
Capital Guaranteed FundConservative1.03%2.63%$93M
Asset Class Balanced FundBalanced1.32%3.84%$23M
Socially Responsible Growth FundGrowth1.34%No 5-year average return figure held. Recorded fund start date 30 March 2022 is less than five years before March 2026.$122M
Enhanced Cash FundDefensive0.75%2.09%$101M

About “—” in return figures: it means no figure is held, not a return of zero. Of the 17 funds listed, 14 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.

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