Investments

Macquarie mFunds

Important update: ASX decision to wind down mFund and what this means for investors

Following an announcement by the ASX in November 2023 to wind down and close the ASX Managed Fund Settlement Service (mFund), Macquarie Investment Management Australia Limited (Macquarie) was granted approval by the ASX for the removal of the Funds from mFund. 

The Funds were removed from mFund on Monday 12 May 2025.

Please note, however, that new investors wishing to make an initial investment in a Fund may apply to us directly or through an investor directed portfolio service (IDPS). Please contact your financial adviser or IDPS operator for details. 

Please refer to the Investor notice and the ‘Investor frequently asked questions’ below for more information such as how to make an additional investment or update your account details as a direct investor.

FAQs

Following an announcement by the ASX in November 2023 to wind down and close the ASX Managed Fund Settlement Service (mFund), Macquarie Investment Management Australia Limited (Macquarie) removed the Funds from mFund on Monday 12 May 2025. 

Visit the ASX website for more information on the ASX’s decision to wind down and close mFund. 

Following the removal of the Funds from mFund on 12 May 2025, your investment in a Fund, through mFund, will have been converted into a direct holding in that Fund with Macquarie. You will have retained the same investor number and all instructions in relation to your investment (including applications, redemptions and change of contact details) must now be made directly to us. Your broker-sponsored holding, linked to your CHESS Holder Identification Number no longer applies.

Refer to Question 5 below if you would like information on how to invest and access your money as a direct investor with Macquarie.

Under the Anti-Money Laundering and Counter-Terrorism Financing Act 2006 (Cth) and related rules (AML/CTF law), we are required to collect certain information (which may include identification documents) from you.

While you may have previously provided this information to your broker, we have not been provided access to information that is held by your broker.

If this information is not provided to us, certain restrictions may be placed on your account in order for Macquarie to comply with AML/CTF law.

For example, regardless of your previous distribution preference, you will no longer be eligible to reinvest distributions. Your distribution will instead be paid in cash directly into your nominated Australian financial institution account on file. You will also not be able to add to your investment and there will be delays in paying redemption proceeds.

To avoid such restrictions and delays, please complete the AML/KYC form and return it to [email protected], together with any required identification documents. Refer to the form for further instructions. 

Please contact us at 1800 814 523 or email [email protected] so we can check our records and assist you.

The product disclosure statement (PDS) for the relevant Fund contains information on how to invest and access your money as well as the relevant application and redemption cut-off times. You can access the PDS for each Fund in the table below.

Please download and complete the ‘Change of details form’ if you would like to update your details (for example, your contact details).

Your financial adviser will have access to your investment if they are listed as your servicing adviser with us. Please contact us to check if you are unsure.

You can easily appoint a financial adviser to your account by providing a signed instruction. Your adviser will need to complete the ‘Dealer group and/or adviser transfer and change of contact details form’ if they do not have an adviser profile with Macquarie Asset Management.

The ASX website provides details on the closure of mFund including the mFund product removal schedule.

Macquarie offers various ETFs including the following:

For more information on buying and selling active ETFs, please visit Macquarie’s ETF website and Active ETF Education Hub.

We recommend you seek your own tax advice and consult a financial adviser for advice specific to your circumstances before taking any action.

Please contact us on 1800 814 523 or email at [email protected] if you have any questions about the Funds or the removal from mFund.

For all other enquiries, please contact your broker or visit the ASX website.

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Fund name ARSN APIR code ASX mFund code PDS Information booklet Updated information
Arrowstreet Global Equity Fund  122 036 006 MAQ0464AU AGF01 View View PDS Update
IFP Global Franchise Fund  111 759 712 MAQ0404AU GFF01 View View PDS Update
IFP Global Franchise Fund (Hedged)  138 878 092 MAQ0631AU GFH01 View View PDS Update
IFP Global Franchise Fund II 636 430 165 MAQ3060AU IFP01 View View PDS Update
Macquarie Australian Fixed Interest Fund 090 079 155 MAQ0061AU AUF01 View View PDS Update
Macquarie Corporate Bond Fund – Class R Units 087 391 311 AMP9024AU MPI04 View View PDS Update
Macquarie Dynamic Bond Fund 101 815 141 MAQ0274AU DYB01 View View PDS Update
Macquarie Global Listed Real Estate Fund – Class R Units 112 377 198 AMP9026AU MPI03 View View PDS Update
Macquarie Income Opportunities Fund 102 261 834 MAQ0277AU IOF01 View View PDS Update
Macquarie Real Return Opportunities Fund 163 764 350 MAQ3069AU RRO01 View View PDS Update
Walter Scott Global Equity Fund 112 828 136 MAQ0410AU MWS01 View View PDS Update
Walter Scott Global Equity Fund (Hedged) 129 574 447 MAQ0557AU MWH01 View View PDS Update
Winton Global Alpha Fund 124 282 971 MAQ0482AU WGA01 View N/A PDS Update

Introducing Macquarie ETFs

The Fund(s) mentioned above may have multiple classes of units on issue. A separate class of units is not a separate managed investment scheme.

 

This information has been prepared by Macquarie Investment Management Australia Limited (ABN 55 092 552 611 AFSL 238321) the issuer and responsible entity of the Fund(s) referred to above. This is general information only and does not take account of investment objectives, financial situation or needs of any person and before acting on this information, you should consider whether this information is appropriate for you. In deciding whether to acquire or continue to hold an investment in a Fund, an investor should consider the product disclosure statement for the relevant class of units in a Fund, if any, and the Website Disclosure Information available at macquarie.com/mam or by contacting us on 1800 814 523.

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