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Pendal Sustainable International Share Fund

Fund Information

Fund Objective: The Fund aims to provide a return (before fees, costs and taxes) that exceeds the MSCI World ex Australia (Standard) Index (Net Dividends) in AUD by 2% p.a. over rolling 3 year periods.
Fund Facts
Minimum investment $500,000
Benchmark MSCI World ex Australia (Standard) Index (Net Dividends) in AUD
Distribution Frequency Quarterly
Management fee: 0.70% p.a. Other fees and costs also apply – please refer to the ‘Fees and costs’ flyer for more information
Buy Sell spread 0.20% (0.12% / 0.08%)
Risks An investment fund is subject to a number of risks. For a detailed description of these risks please refer to the IM.
APIR code BTA0568AU
AARI Certified

This fund has been certified by RIAA according to the strict operational and disclosure practices required under the Responsible Investment Certification Program. See www.responsibleinvestment.org for details.

Performance

As at 30/06/25

1m 3m 1yr 3yr (p.a) 5yr (p.a) % since inception
Total return (Before fees and tax) 2.20 6.31 14.43 15.21 13.68 11.47
Benchmark: MSCI AC World ex Australia - Net Return (Spliced) 2.63 6.12 18.78 20.42 15.79 13.79
Total return After fees 2.14 6.12 13.63 14.41 12.89 10.69
Distribution 9.29 9.65 11.06 8.82 10.93 8.55
Growth -7.15 -3.53 2.57 5.58 1.96 2.15

^Inception 29/07/2016

Source of fund performance data: Pendal. Past performance is not a reliable indicator of future performance. This information is for general information and is not to be regarded as a securities recommendation. Where performance returns are quoted “After fees” then this assumes reinvestment of distributions and is calculated using exit prices which take into account management costs but not tax you may pay as an investor. Where “Growth” returns are shown, these represent the percentage change in the value of units in the fund excluding any distributions paid. “Distribution” returns equal the difference between the “Total return (After fees)”, and the Growth return. Where performance returns are quoted “After fees and tax”, they are calculated using exit prices which take into account management costs and taxes paid within the trust up to a maximum of 15%. Where performance returns are quoted “Before fees and tax”, they exclude the effects of management costs and any taxes. You can view our Unit Pricing Discretions Policy here.

Prices & Distributions

Date Entry Exit
11 Jul 2025 $1.204500 $1.202100
Date CPU
30 Jun 2025 12.102084

Documents

Fund Fact Sheet

Download

Latest Annual Report

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Fund Holdings

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How to apply