Guide and product disclosure statements
A guide and product disclosure statement is available for each financial product below.
A product disclosure statement for each financial product below has been lodged on the applicable scheme's offer register at the New Zealand Companies Office.
- OneAnswer KiwiSaver Scheme
- OneAnswer Multi-Asset-Class Funds
- OneAnswer Single-Asset-Class Funds
Issuer and manager
ANZ New Zealand Investments Limited (ANZ Investments) is the issuer and manager of the OneAnswer KiwiSaver Scheme, the OneAnswer Multi-Asset-Class Funds and the OneAnswer Single-Asset-Class Funds.
Administration and investment manager
ANZ Investments is the administration and investment manager of the SIL Mutual Scheme, the SIL Employer Scheme and the MFL Mutual Fund.
Investments are not deposits in ANZ Group
The financial products mentioned on this website are not deposits in ANZ Bank New Zealand Limited, Australia and New Zealand Banking Group Limited or their subsidiaries (together “ANZ Group”), nor are they liabilities of ANZ Group. ANZ Group does not stand behind or guarantee ANZ Investments. Investments are subject to investment risk, including possible delays in repayment, and loss of income and principal invested. ANZ Group will not be liable to you for the capital value or performance of your investment.
The financial products mentioned on this website are not guaranteed by ANZ Group, any of its directors, or any other person.
For information only
This website has been provided for information purposes only and is subject to change. The content of this website is intended to be of a general nature and does not take into account an investor’s, or potential investor’s, financial situation, investment objectives, or risk tolerance.
Not investment advice
This website is not intended to constitute, does not constitute, and should not be construed as constituting, investment advice nor is it a substitute for commercial judgment or other professional advice. Investors, or potential investors, should: (i) conduct independent due diligence on any investments; and (ii) obtain independent investment and professional advice, including tax advice, prior to acting in reliance on this website.
For specific investors only
This website is intended for investors who understand the investment risks referred to on it. Some, or all, of the investments mentioned on this website may not be suitable for certain investors. Investors, or potential investors, should consider whether: (i) an investment is appropriate for their risk profile; and (ii) they will meet the suitability requirements relating to those types of investments.
Speak to a financial adviser
This website is for information purposes only. We recommend seeking financial advice about your situation and goals before getting a financial product.
Past performance does not indicate future performance. The actual performance any given investor realises will depend on many things, is not guaranteed and may be negative as well as positive.
How performance is calculated
Performance is after annual fund charge, and before tax and membership fees (if applicable). The funds in respect of products mentioned on this website are portfolio investment entities (PIEs). Performance for funds operating before they became PIEs on 1 October 2007 has been recalculated to be on the same (pre-tax) basis. Returns for all periods longer than one year are annualised.
Unit prices are calculated in accordance with the relevant governing document. The actual unit price that applies at the time a transaction request is received and accepted may differ from the unit prices shown.