Platinum Asia

Ways to Invest

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Platinum Asia

Pricing & Performance

Performance as at 31/01/2021

Returns as at 31/01/2021

  Growth % Total %
1 month 3.92 3.92
3 month 8.60 8.60
6 month 15.73 15.73
1 year 27.98 27.98
3 year 8.27 8.27
5 year 12.60 12.60
10 year 9.54 9.54

Unit Prices as at 02/03/2021

Entry
2.993
Exit
2.981
View price history

Fund Commencement Date

December 2006

Details & Fees

About this fund

  • Fund Manager

    Platinum Investment Management Limited

  • Asset Class

    International shares

  • Suggested Length

    5 years or longer

Investment Objective

Aims to provide capital growth, where measured over at least five years, by investing in undervalued companies in the Asia region excluding Japan.

Investment Approach

The fund primarily invests in the listed securities of Asian companies. The fund will ideally consist of 50 to 100 securities that Platinum believes to be undervalued by the market. Cash may be held when undervalued securities cannot be found. Platinum may short sell securities that it considers overvalued. The fund will typically have 50% or more net equity exposure. Platinum manages risk associated with currency exposure through the use of hedging devices (eg foreign exchange forwards, swaps, non-deliverable forwards and currency options) and cash foreign exchange trades.

Investment Details

Minimum Initial Investment $3,000
With Savings Plan  
Minimum Initial Investment $1,500
Monthly Minimum $100
Minimum Additional Investment $1,000

Fees

Entry Nil
Exit Nil
Management Cost (p.a.) 2.15%
Buy / Sell Spread 0.4% / Nil

Investment Guidelines

International equities 0 - 100%
Cash and cash equivalent investments 0 - 100%

Distribution

N/A

Product Disclosure Statement

How to Invest

  1. If you are interested in making an investment in Perpetual WealthFocus Super Plan


    Review the Product Disclosure Statement (PDS) for WealthFocus Wholesale Super Plan and other offer documents and consider your investment option carefully.

    Send the completed application & documents to the address below.


    > Important information and continuous disclosure

    > Find out more about Perpetual WealthFocus

  2. New and existing investors - Invest using Perpetual’s online application form

  3. If you are an existing investor in WealthFocus Super Plan


    All forms, offer documents and PDS’s can be found on Forms, PDS's and Offer Documents page in our Resources section.

  4. Mailing and application details


    Send the completed application & documents to:

    Reply Paid 4171
    Perpetual WealthFocus Super Plan
    GPO Box 4171
    Sydney NSW 2001


    Customer Identification Requirements

Pricing & Performance

Performance as at 31/01/2021

Returns as at 31/01/2021

  Growth % Total %
1 month 4.62 4.62
3 month 9.64 9.64
6 month 17.97 17.97
1 year 32.01 32.01
3 year 9.64 9.64
5 year 14.10 14.10
10 year 10.43 10.43

Unit Prices as at 02/03/2021

Entry
3.238
Exit
3.225
View price history

Fund Commencement Date

January 2007

Details & Fees

About this fund

  • Fund Manager

    Platinum Investment Management Limited

  • Asset Class

    International shares

  • Suggested Length

    5 years or longer

Investment Objective

Aims to provide capital growth, where measured over at least five years, by investing in undervalued companies in the Asia region excluding Japan.

Investment Approach

The fund primarily invests in the listed securities of Asian companies. The fund will ideally consist of 50 to 100 securities that Platinum believes to be undervalued by the market. Cash may be held when undervalued securities cannot be found. Platinum may short sell securities that it considers overvalued. The fund will typically have 50% or more net equity exposure. Platinum manages risk associated with currency exposure through the use of hedging devices (eg foreign exchange forwards, swaps, non-deliverable forwards and currency options) and cash foreign exchange trades.

Investment Details

Minimum Initial Investment $20,000

Fees

Entry Nil
Exit Nil
Management Cost (p.a.) 2.15%
Buy / Sell Spread 0.4% / Nil

Investment Guidelines

International equities 0 - 100%
Cash and cash equivalent investments 0 - 100%

Distribution

N/A

Product Disclosure Statement

How to Invest

  1. The Perpetual WealthFocus Term Allocated Pension Plan is closed to new investors

  2. If you are an existing investor in WealthFocus Term Allocated Pension Plan


    All forms, offer documents and PDS’s can be found on Forms, PDS's and Offer Documents page in our Resources section.

  3. Mailing and application details


    Send the completed application & documents to:

    Reply Paid 4171
    Perpetual WealthFocus Pension Plan
    GPO Box 4171
    Sydney NSW 2001


    Customer Identification Requirements

Pricing & Performance

Performance as at 31/01/2021

Returns as at 31/01/2021

  Growth % Total %
1 month 4.62 4.62
3 month 9.64 9.64
6 month 17.97 17.97
1 year 32.01 32.01
3 year 9.64 9.64
5 year 14.10 14.10
10 year 10.43 10.43

Unit Prices as at 02/03/2021

Entry
3.238
Exit
3.225
View price history

Fund Commencement Date

January 2007

Details & Fees

About this fund

  • Fund Manager

    Platinum Investment Management Limited

  • Asset Class

    International shares

  • Suggested Length

    5 years or longer

Investment Objective

Aims to provide capital growth, where measured over at least five years, by investing in undervalued companies in the Asia region excluding Japan.

Investment Approach

The fund primarily invests in the listed securities of Asian companies. The fund will ideally consist of 50 to 100 securities that Platinum believes to be undervalued by the market. Cash may be held when undervalued securities cannot be found. Platinum may short sell securities that it considers overvalued. The fund will typically have 50% or more net equity exposure. Platinum manages risk associated with currency exposure through the use of hedging devices (eg foreign exchange forwards, swaps, non-deliverable forwards and currency options) and cash foreign exchange trades.

Investment Details

Minimum Initial Investment $20,000

Fees

Entry Nil
Exit Nil
Management Cost (p.a.) 2.15%
Buy / Sell Spread 0.4% / Nil

Investment Guidelines

International equities 0 - 100%
Cash and cash equivalent investments 0 - 100%

Distribution

N/A

Product Disclosure Statement

How to Invest

  1. If you are interested in making an investment in the Perpetual WealthFocus Account Based Pension Plan


    Review the Product Disclosure Statement (PDS) for Perpetual WealthFocus Account Based Pension Plan (which includes the Account Based Pension Plan) and other offer documents and consider your investment option carefully.

    It is likely that the WealthFocus Pension Plan will be most suitable for new investors

    > Important information and continuous disclosure

    > Find out more about Perpetual WealthFocus

  2. If you are an existing investor in WealthFocus Account Based Pension Plan


    All forms, offer documents and PDS’s can be found in Forms, PDS's and Offer Documents page in our Resources section.

  3. Mailing and Application Details


    Send your completed application & identification documents to:


    Reply Paid 4171

    Perpetual WealthFocus Pension Plan

    GPO Box 4171, Sydney NSW 2001


    Customer Identification Requirements

Pricing & Performance

Performance as at 31/01/2021

Returns as at 31/01/2021

  Growth % Distribution % Total %
1 month 4.60 -- 4.60
3 month 9.63 -- 9.63
6 month 17.95 -- 17.95
1 year 30.95 1.16 32.11
3 year 0.83 8.83 9.67
5 year -0.31 14.43 14.12
10 year 0.67 9.88 10.55

Unit Prices as at 02/03/2021

Entry
1.428
Exit
1.422
View price history

Distributions

Frequency Yearly
Cents per Unit 1.007
Reinvestment Price 1.136
View distributions history

Fund Commencement Date

November 2008

Details & Fees

About this fund

  • Fund Manager

    Platinum Investment Management Limited

  • Asset Class

    International shares

  • Suggested Length

    5 years or longer

Investment Objective

Aims to provide capital growth, where measured over at least five years, by investing in undervalued companies in the Asia region excluding Japan.

Investment Approach

The fund primarily invests in the listed securities of Asian companies. The fund will ideally consist of 50 to 100 securities that Platinum believes to be undervalued by the market. Cash may be held when undervalued securities cannot be found. Platinum may short sell securities that it considers overvalued. The fund will typically have 50% or more net equity exposure. Platinum manages risk associated with currency exposure through the use of hedging devices (eg foreign exchange forwards, swaps, non-deliverable forwards and currency options) and cash foreign exchange trades.

Investment Details

Minimum Initial Investment $2,000
With Savings Plan  
Minimum Initial Investment $1,000
Monthly Minimum Nil
Minimum Additional Investment $1,000

Fees

Entry Nil
Exit Nil
Management Cost (p.a.) 2.14%
Buy / Sell Spread 0.4% / Nil

Investment Guidelines

International equities 0 - 100%
Cash and cash equivalent investments 0 - 100%

Distribution

Yearly
June 30

How to Invest

  1. If you are interested in making an investment in Perpetual WealthFocus Investment Advantage


    Review the Product Disclosure Statement (PDS) for WealthFocus Investment Advantage and related documents to ensure you understand how the Fund works and the risks involved.

    Send the completed application & documents to the address below.


    > Important information and continuous disclosure

    > Find out more about Perpetual WealthFocus

  2. New and existing investors - Invest using Perpetual’s online application form

  3. Make an additional investment to WealthFocus Investment Advantage


    1. Review the current PDS and related documents. They may have changed since you first invested.
    2. Download and complete an Additional Investments form. Send the form to the address below.
    3. If you have online account access, you can complete the additional investment form online.

    All forms, offer documents and PDS’s can be found on Forms, PDS's and Offer Documents page in our Resources section.

Perpetual Investment Management Limited ABN 18 000 866 535 AFSL 234426 and/or Perpetual Superannuation Limited ABN 84 008 416 831 AFSL 225246 are the issuers of the Funds. You should consider the relevant Fund product disclosure statement or other offer document before deciding whether to invest.

Returns have been calculated using exit prices after taking into account all ongoing fees, and assuming reinvestment of distributions. No allowance has been made for entry fees, exit fees or where applicable taxation. Future returns may bear no relationship to the historical information displayed. The returns shown represent past returns only and are not indicative of future returns of a Fund. Returns on a Fund can be particularly volatile in the short term and in some periods may be negative.


Awards and recognition