Investors can view their accounts online via a secure web portal. After registering, you can access your account balances, periodical statements, tax statements, transaction histories and distribution statements / details.
Advisers will also have access to view their clients’ accounts online via the secure web portal.
Important Updates:
Pendal Sustainable International Share Fund (APIR: BTA0568AU, ARSN 612 665 219)
Effective 22 May 2025, the buy-sell spread for the Pendal Sustainable International Share Fund (the Fund) will increase as set out in the table below:
Table 1: Old and New Buy-Sell Spreads
Fund Name | Old (%) | New (%) | ||
Buy | Sell | Buy | Sell | |
Pendal Sustainable International Share Fund | 0.05% | 0.05% | 0.12% | 0.08% |
The buy-sell spread is an additional cost to you and is generally incurred whenever you invest in or withdraw from a Fund. The buy-sell spread is retained by the Fund (it is not a fee paid to us) and represents a contribution to the transaction costs incurred by the Fund such as brokerage and stamp duty, when the Fund is purchasing and selling assets.
Importantly, the buy-sell spread helps to ensure different unit holders are being treated fairly by attributing the costs of trading securities to those unit holders who are buying and selling units in the Fund.
The Fund’s buy-sell spread will increase to reflect an increase in the Fund’s brokerage costs and local market jurisdiction transaction taxes.
As transaction costs may change depending on various factors such as market conditions and brokerage costs, buy-sell spreads may also change without prior notice. You should therefore review current buy-sell spread information before making a decision to invest or withdraw from a Fund.
Please refer to our website www.pendalgroup.com, click ‘Products’, select the Fund and click on ‘View fund information’ for the latest buy-sell spread for the Fund.
This document has been prepared by Pendal Fund Services Limited (Pendal) ABN 13 161 249 332, AFSL No. 431426 and the information is current as at 22 May 2025. A Product Disclosure Statement (PDS) is available for each Fund and can be obtained by calling us or visiting www.pendalgroup.com. The Target Market Determination (TMD) for each Fund with a PDS is available at www.pendalgroup.com/ddo. You should obtain and consider the PDS before deciding whether to acquire, continue to hold or dispose of units in a Fund. An investment in the Fund referred to in this document is subject to investment risk, including possible delays in repayment of withdrawal proceeds and loss of income and principal invested. This document is for general information purposes only, should not be considered as a comprehensive statement on any matter and should not be relied upon as such. It has been prepared without taking into account any recipient’s personal objectives, financial situation or needs. Because of this, recipients should, before acting on this information, consider its appropriateness having regard to their individual objectives, financial situation and needs. This information is not to be regarded as a securities recommendation or professional advice. The information in this document may contain material provided by third parties, is given in good faith and has been derived from sources believed to be accurate as at its issue date. While such material is published with necessary permission, and while all reasonable care has been taken to ensure that the information in this document is complete and correct, to the maximum extent permitted by law neither Pendal nor any company in the Perpetual Group (being Perpetual Limited ABN 86 000 431 827 and its subsidiaries) accepts any responsibility or liability for the accuracy or completeness of this information.