Using mFund, all transactions can be placed online. mFund may be a convenient way to broaden investment exposure to asset classes such as fixed income, smaller companies and global equities, and diversify.
All transactions with the fund issuer can be placed through a broker
As with shares, mFund investments link to the investor’s Holder Identification Number (HIN). The investor can also see their mFund investments, and monitor the progress of transactions, alongside their existing trading portfolio.
mFund is supported by the ASX rule framework, which seeks ensure all parties, including stockbrokers, issuers and unit registrars are accountable for their roles and responsibilities.
If an investor invests in one of our managed funds via mFund, the processes for the ASX and the broker used will impact the time the investor’s application and withdrawal requests are received by us. An investor should contact their broker for their cut-off times.
Furthermore, there are some risks associated with the ASX’s systems and brokers. For example, the ASX’s systems could fail, or there could be errors or irregularities. The ASX may suspend or revoke the admission of a managed fund to mFund.
Our investment solutions are managed by some of the best investment talent from across the world, giving investors confidence their investments are in good hands.
We connect investors with investment solutions across a broad range of asset classes and investment styles, to help investors easily diversify or manage risk.
By investing in a managed fund an investor can access wholesale investment opportunities, markets and diversification not usually available to individual investors directly.
|mFund code||Managed fund||Investment manager||Asset class||Investment style|
|ANT01||Antares Income Fund||NabInvest Capital Partners (Antares Fixed Income)||Diversified income||Defensive|
|AGA01||Altrinsic Global Equities Trust||Altrinsic Global Advisors, LLC||Global shares||Value|
|FEP01||Fairview Equity Partners Emerging Companies Fund||Fairview Equity Partners||Australian shares (small companies)||Growth|
|INT01||Intermede Global Equities Fund||Intermede Investment Partners||Global shares||Growth|
|PRE01||Presima Global Property Securities Concentrated Fund||Presima Inc||Global listed property||Core|
|RPO01||Redpoint Global Infrastructure Fund||Redpoint Investment Management||Global listed infrastructure||Index|
|MLC01||MLC Wholesale Inflation Plus - Conservative Portfolio||MLC||Multi-asset||Diversified|
|MLC02||MLC Wholesale Inflation Plus - Moderate Portfolio||MLC||Multi-asset||Diversified|
|MLC03||MLC Wholesale Inflation Plus - Assertive Portfolio||MLC||Multi-asset||Diversified|
Investing through mFund is easy. Simply follow the steps below.
Read the PDS and Product Guide
Contact a participating broker
Instruct a broker to place an order
mFund confirmation and CHESS statement sent to the investor
If an investor doesn’t have an existing stockbroking account, they can contact a participating broker, such as nabtrade, today. A complete list of participating stockbrokers can be found on the ASX website.
This information is provided by Antares Capital Partners Ltd (ABN 85 066 081 114) (AFSL 234483) (ACP) and MLC Investments Limited (ABN 30 002 641 661) (MLCI), of 105–153 Miller Street, North Sydney 2000, members of the NAB Group of companies. ACP and MLCI may use the services of NAB Group companies where it makes good business sense to do so and will benefit customers. Amounts paid for these services are always negotiated on an arms length basis.
This information may constitute general advice. It has been prepared without taking account of individual objectives, financial situation or needs and because of that you should, before acting on the advice, consider the appropriateness of the advice having regard to your personal objectives, financial situation and needs.
You should obtain a Product Disclosure Statement (PDS) relating to the Altrinsic Global Equities Trust, Antares Income Fund, Fairview Equity Partners Emerging Companies Fund, Intermede Global Equities Fund, Presima Global Property Securities Concentrated Fund and Redpoint Global Infrastructure Fund issued by ACP; MLC Wholesale Inflation Plus Portfolios issued by MLC Investments Limited (ABN 80 008 515 633), and consider it before making any decision about that Fund. A copy of the relevant PDS is available upon request by phoning 1300 738 355 or firstname.lastname@example.org An investment in a financial product offered by ACP or MLCI is not a deposit with or liability of, and is not guaranteed by National Australia Bank Limited or its subsidiaries (NAB). NAB does not guarantee or otherwise accept any liability in respect of financial products offered by ACP or MLCI.