Skip to main content

AI assistant

Sign in to chat with this filing

The assistant answers questions, extracts KPIs, and summarises risk factors directly from the filing text.

Smart NZ Bond ETF Interim / Quarterly Report 2017

Oct 30, 2017

66241_rns_2017-10-31_8fbe8e27-a23e-4131-a405-13ae595daff8.pdf

Interim / Quarterly Report

Open in viewer

Opens in your device viewer

==> picture [231 x 37] intentionally omitted <==

NZ Bond Fund

Fund update for the quarter ended 30 September 2017

This fund update was first made publicly available on 19 October 2017.

What is the purpose of this update?

This document tells you how the NZ Bond Fund has performed and what fees were charged. The document will help you to compare the fund with other funds. Smartshares Limited prepared this update in accordance with the Financial Markets Conduct Act 2013. This information is not audited and may be updated.

Description of this fund

The NZ Bond Fund invests in New Zealand fixed interest assets, with the objective of outperforming the S&P/NZX A-Grade Corporate Bond Index over rolling 3-year periods. The investment manager is Nikko Asset Management New Zealand Limited.

Total value of the fund: $208,138,146 The date the fund started: 12 November 2015

What are the risks of investing?

Risk indicator for the NZ Bond Fund[1]

indicator for the NZ Bond Fund1 indicator for the NZ Bond Fund1 indicator for the NZ Bond Fund1 indicator for the NZ Bond Fund1 indicator for the NZ Bond Fund1 indicator for the NZ Bond Fund1 indicator for the NZ Bond Fund1 indicator for the NZ Bond Fund1 indicator for the NZ Bond Fund1 indicator for the NZ Bond Fund1
Lower risk
Higher risk
1 2 3 4
5

6

7
Potentially lower returns
Potentially higher returns

The risk indicator is rated from 1 (low) to 7 (high). The rating reflects how much the value of the fund’s assets goes up and down. A higher risk generally means higher potential returns over time, but more ups and downs along the way.

To help you clarify your own attitude to risk, you can seek financial advice or work out your risk profile at www.sorted.org.nz/tools/investor-kickstarter.

Note that even the lowest category does not mean a risk-free investment, and there are other risks that are not captured by this rating.

This risk indicator is not a guarantee of a fund’s future performance. The risk indicator is based on the returns data for 5 years to 30 September 2017. While risk indicators are usually relatively stable, they do shift from time to time. The risk indicator will continue to be updated in future fund updates.

See the Product Disclosure Statement for the Smartshares Exchange Traded Funds for more information about the risks associated with investing in this fund.

How has the fund performed?

Past year Annual return 1.70% (after deductions for charges and tax) Annual return 2.73% (after deductions for charges but before tax) Market index annual return 2.53% (reflects no deduction for charges and tax)

The market index annual return is based on the annual return of the S&P/NZX A-Grade Corporate Bond Index. Additional information about the market index is available on the offer register at www.business.govt.nz/disclose.

Annual return graph

==> picture [235 x 162] intentionally omitted <==

----- Start of picture text -----

5% 4.4%
5%
4% 3.5%
4% 3.1%
3%
3% 2.0%
2%
2%
1%
1%
0%
31/03/2017 Average
annual
return
NZ Bond Fund Market index
Annual return
----- End of picture text -----

Smartshares Exchange Traded Funds 1

==> picture [67 x 41] intentionally omitted <==

This shows the return after fund charges and tax for each year ending 31 March since the fund started. The last bar shows the average annual return since the fund started, up to 30 September 2017.

Important: This does not tell you how the fund will perform in the future.

Returns in this update are after tax at 28%.

What fees are investors charged?

Investors in the NZ Bond Fund are charged fund charges. In the year to 31 March 2017 these were:

% per annum of fund’s
net asset value
Total fund charges
0.54%
Which are made up of:
Total management and
administration charges
0.54%
Including:
Manager’s basic fee
0.54%
Other management and
administration charges
0.00%
Total performance-based fees
0.00%
Other charges
Dollar amount per investor
Not applicable
$0.00

Investors may also be charged individual action fees for specific actions or decisions (for example, for initial contributions to the fund). See the Product Disclosure Statement for the Smartshares Exchange Traded Funds for more information about those fees.

Small differences in fees and charges can have a big impact on your investment over the long term.

Example of how this applies to an investor

Tara had $10,000 in the fund and did not make any further contributions. At the end of the year, Tara received a return after fund charges were deducted of $170 (that is 1.70% of her initial $10,000).

Tara paid no other charges. This gives Tara a total return after tax of $170 for the year.

What does the fund invest in?

Actual investment mix

This shows the types of assets that the fund invests in.

==> picture [126 x 211] intentionally omitted <==

----- Start of picture text -----

Cash and cash
equivalents
0.48%
New Zealand fixed
interest
99.52%
----- End of picture text -----

Target investment mix

This shows the mix of assets that the fund generally intends to invest in.

Asset Category
Target asset mix
Cash and cash equivalents
-
New Zealand fixed interest
100.00%
International fixed interest
-
Australasian equities
-
International equities
-
Listed property
-
Unlisted property
-
Commodities
-
Other
-

Smartshares Exchange Traded Funds 2

==> picture [67 x 41] intentionally omitted <==

Top 10 investments

Name % of fund’s net
asset value
Type Country Credit rating
(if applicable)
Rabo New Zealand FRN 08/10/17
4.77%
New Zealand fixed
interest
Netherlands
BBB-
Insurance Australia Group Ltd
15/06/43 5.15% CB
4.66%
New Zealand fixed
interest
Australia
BBB
New Zealand Government 15/05/21
6.0% GB
4.49%
New Zealand fixed
interest
New Zealand
AA+
New Zealand Government 15/04/23
5.5% GB
4.42%
New Zealand fixed
interest
New Zealand
AA+
ASB Bank Ltd 26/05/21 4.245% CB
4.01%
New Zealand fixed
interest
New Zealand
AA-
ANZ Bank New Zealand Ltd 22/03/21
4.0% CB
3.74%
New Zealand fixed
interest
New Zealand
AA-
Bank of New Zealand 17/12/25
5.314% CB
3.23%
New Zealand fixed
interest
New Zealand
BBB
Fonterra Co-operative Group Ltd
25/02/22 5.90% CB
3.22%
New Zealand fixed
interest
New Zealand
A-
Powerco Ltd 28/09/22 4.76% CB
3.06%
New Zealand fixed
interest
New Zealand
BBB
ASB Bank Ltd 25/02/20 4.425% CB
3.04%
New Zealand fixed
interest
New Zealand
AA-

The top 10 investments make up 38.64% of the fund’s net asset value.

Currency hedging

Not applicable.

Key personnel

This shows the directors and employees who have the most influence on the investment decisions of the fund:

Key personnel Key personnel Key personnel Key personnel Key personnel
This shows the directors and employees who have the most influence on the investment decisions of the fund:
Name Current position Time in current
position
Previous or other positions Time in previous
/ other position
Fergus McDonald
Head of Bonds and
Currency - Nikko Asset
Management
17 years and 3
months
NZ Fixed Interest Portfolio
Manager - Nikko Asset
Management New Zealand
Limited
10 years and 5
months
Ian Bellow
Fixed Income Manager -
Nikko Asset Management
5 years and 9
months
Cash Portfolio Manager -
Nikko Asset Management
New ZealandLimited
4 years and 10
months
Tim O'Loan
Fixed Income Analyst -
Nikko Asset Management
5 years and 8
months
Operations Analyst - NZ Super
Fund
3 years
George Carter
Managing Director - Nikko
Asset Management
1 year and 11
months
Director Head of Distribution -
AMP Capital Investors NZ
Limited
6 years and 4
months

Further information

You can also obtain this information, the Product Disclosure Statement for the Smartshares Exchange Traded Funds, and some additional information from the offer register at www.business.govt.nz/disclose.

Notes

  • 1 Market index returns (as well as actual returns) have been used to complete the risk indicator, as the fund has not been in existence for 5 years. As a result, the risk indicator may provide a less reliable indicator of the potential future volatility of the fund. The risk indicator for the fund uses 3 years and 2 months of market index returns.

Smartshares Exchange Traded Funds 3