Fiducian Growth Fund

At a glance

Fund size
$452 million (February 2025)
Portfolio manager
Conrad Burge
Inception date
February 1997
Fund ranking / index
View Fiducian Funds performance & ratings data
Recommended holding period
At least 7 years
Benchmark
FE fundinfo AMI Mixed Asset Growth Index
Management cost
0.99%
Total management costs
1.05%
Application/exit fee
Nil
APIR Code
FPS0004AU
ARSN
093 543 241
Fund profile Icon

Fund profile

The Fiducian Growth Fund (Fund) is diversified across a blend of asset sectors and different fund manager styles within each sector. It invests in Australian and international shares, property, fixed interest and liquid assets.

The Fund is managed using Fiducian's unique Manage the Manager system, which aims to deliver superior returns with reduced risk. Underlying investment funds from a blend of 27 different managers make up the Fiducian Growth Fund.

Fund objective Icon

Fund objective

The Fund aims to exceed average fund manager performance (after fees) as determined by relevant surveys conducted by FE fundinfo over rolling three-year periods.

Investor profile Icon

Investor profile

This fund may suit investors seeking good long-term capital growth but who are tolerant of possible shorter-term volatility.