Investor Notice - Paradice Australian Mid Cap Fund Class B - 10 Jan 2025
Investor Notice - Paradice Australian Small Cap Opportunities Fund - Class A - 6 Dec 2024
Investor Letter - Paradice Sustainable Transition Fund closure - 3 May 2024
Paradice Australian Mid Cap Fund Active ETF Redemption UOI Notification
Fund Name | APIR | Offer Document | Reference Guide | Fact Sheet | Financial Report | TMD | Continuous Disclosure Notices | Intraday Indicative NAV** |
|---|---|---|---|---|---|---|---|---|
| Paradice Australian Equities Fund | ETL8084AU | |||||||
| Paradice Australian Equities Fund New Zealand Investors | ETL8084AU | |||||||
| Paradice Australian Mid Cap Fund - Active ETF | ETL9086AU | $6.9673 26/12/2025 3:31:57 pm | ||||||
| Paradice Australian Mid Cap Fund - Active ETF New Zealand investors | ETL9086AU | |||||||
| Paradice Australian Small Cap Fund - Class B | ETL0739AU | |||||||
| Paradice Australian Small Cap Fund - Class B New Zealand Investors | ETL0739AU | |||||||
| Paradice Australian Small Cap Opportunities Fund - Class A | ETL4624AU | |||||||
| Paradice Australian Small Cap Opportunities Fund - Class A New Zealand Investors | ETL4624AU | |||||||
| Paradice Australian Small Cap Opportunities Fund Class B | ETL8453AU | |||||||
| Paradice Equity Alpha Plus Fund | ETL8096AU | |||||||
| Paradice Equity Alpha Plus Fund New Zealand Investors | ETL8096AU | |||||||
| Paradice Global Opportunities Fund | ETL2635AU | |||||||
| Paradice Global Opportunities Fund New Zealand Investor | ETL2635AU | |||||||
| Paradice Global Small Cap Fund | ETL0365AU | |||||||
| Paradice Global Small Cap Fund New Zealand Investors | ETL0365AU |
** An indicative NAV per Unit (“iNAV”) for the Fund will be published throughout the Securities exchange trading day. The iNAV iNAV is reflective of real-time movements in the Funds underlying instruments. The iNAV represents the best estimate by the Issuer or its appointed agents of the value per unit in the Fund throughout the trading day.
The iNAV published by the Fund is indicative only and might not accurately reflect the underlying value of the Fund. The Issuer or its appointed agents gives no guarantees that the iNAV will be published continuously or that it will be up to date or free from error. To the extent permitted by law, neither the Issuer or its appointed agent shall be liable to any person who relies on the iNAV.