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Hunter

Investment Funds

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  • OUR FUND
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Legal documents

  • Hunter Global Fixed Interest Fund – Product Disclosure Statement
  • Statement of Investment Policies and Objectives (SIPO)
  • Other Material Information
  • Financial Statements – 31 March 2021
  • Financial Statements – 31 March 2020
  • Financial Statements – 31 March 2019
  • Financial Statements – 31 March 2018
  • Financial Statements – 31 March 2017
  • Annual Report – 31 March 2020
  • Annual Report – 31 March 2019
  • Annual Report – 31 March 2018
  • Annual Report – 31 March 2017

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CONTACT US

Address
Level 16
171 Featherston Street
Wellington
P.O. Box 3363
Wellington 6046

Contact
0800 460 830

About The HUNTER Investment Funds

The Hunter Global Fixed Interest Fund is a PIE-compliant New Zealand-domiciled funds. Harbour Asset Management Limited (Harbour) is the issuer and manager of the Fund. Harbour is licenced as a manager of registered investment schemes under the Financial Markets Conduct Act, and currently manages over NZ$7 billion on behalf of clients. The Funds are registered as an offer within a Managed Investment Scheme under the Financial Markets Conduct Act 2013 and is regulated by the FMA.

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Privacy Policy

Disclaimer

Harbour Asset Management Limited (Harbour) is the manager of the Hunter Investment Funds and the issuer of units in the Hunter Global Fixed Interest Fund. You can get a copy of the product disclosure statements for the Hunter Investment Funds online here, by going to www.companiesoffice.govt.nz/disclose and searching for the ‘Hunter Investment Funds’ offer, or by emailing us at contact@hunterinvestments.co.nz.

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