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Fraudulent messages and advertisements are increasingly circulating on messaging platforms and fake websites. These scams often impersonate investment management firms or their professionals and may promote fake documents related to various financial products. 

Scammers commonly use tactics such as unsolicited mobile messages, third-party messaging apps, phishing emails, cold calls, or fake websites. Their goal is to entice you to invest in false products that misuse an investment manager's name or logo. 

Ausbil reminds you to carefully verify the authenticity of all communications before you act. You can do so by contacting Ausbil here. This includes content on websites, social media, emails, text messages, or third-party apps that claim to be issued, authorised, or connected to Ausbil, its affiliates, or its employees.

Ausbil Active Sustainable Equity Fund

Ausbil Active Sustainable Equity Fund

The Fund provides exposure to an actively managed portfolio, predominantly made up of listed Australian equities, primarily selected from the S&P/ASX 200 Index, which meet Ausbil’s sustainability approach to investing.

Overview

The Fund provides exposure to an actively managed portfolio, predominantly made up of listed Australian equities, primarily selected from the S&P/ASX 200 Index, which meet Ausbil’s sustainability approach to investing.

Ausbil initially excludes companies that have material exposure to 'controversial activities’. Please read the Fund’s Controversial Activity Exclusion Policy for further information on controversial activities, including direct and indirect examples, and the material threshold that is applied to each activity.

Ausbil then applies its proprietary ESG research to the Fund. Ausbil’s dedicated ESG team researches on a proprietary basis and assesses a company based on the industry in which the company operates in (ie what a company does) and the company’s ESG factors (ie how a company manages these factors). Ausbil uses this process to determine a company’s sustainability profile and sustainability score.

Companies that Ausbil determines to have poor sustainability profiles are excluded and the Fund is then allowed to invest in companies that are determined by Ausbil to have relatively good sustainability profiles.
AUSTRALIAN EQUITIES

Fund Objective

To achieve returns (before fees and taxes) in excess of the S&P/ASX 200 Accumulation Index over the long term by primarily investing in listed Australian companies which meet Ausbil’s sustainability approach to investing. There is no guarantee that this objective will be achieved.
Read the PDS
Entry Price as of 30/04/2026 $18.4078
Exit Price as of 30/04/2026 $18.3343

Ausbil Active Sustainable Equity Fund - Active ETF.
Notice to unitholders: The unit prices published above are displayed to 4 decimal places. Your statements and all other communications will continue to be published to 6 decimal places.

ASX: ASUS

ETF Details

Ausbil has appointed two pricing agents to each calculate an Indicative NAV (iNAV) per unit on behalf of the Fund throughout the ASX trading day. Each iNAV is published on Ausbil’s website and they are updated for movements in the Fund’s portfolio stocks during the ASX trading day. Where the market for the Fund’s portfolio stocks is closed during the ASX trading day, the iNAV may be updated to reflect after-hours movements for representative proxies in applicable derivatives markets. From time to time, there may be differences between each iNAV as a result of different calculation methodologies or timing of data. Please read the Fund’s PDS for further information about the iNAV, including the risks related to the iNAV.
Exchange Traded

TICKER

ASUS

iNAV S&P Global

AUD$18.5226 04/05/2026 11:19:04 AM

The information and data provided herein (the 'data') is the proprietary property of S&P. Unless you are in possession of a valid license from S&P for access, use or distribution of the data, you may not, except as expressly permitted by such S&P license: (i) copy, share, sell, distribute or otherwise make the data S&P to any other party; or (ii) use the data contained herein in any other manner, including for any internal or external business purposes, except as expressly communicated to you in writing by the provider of this data. To obtain a license, please contact S&P.

The users of this data acknowledge and agree that no duty of care is owed to them or to any other person by S&P or any of its third party data or service providers ('data providers') and that use of data creates no fiduciary or other relationship in contract or in tort between the users or any other person and S&P or its data providers.

The data is provided on an 'as is' basis. Neither S&P, its affiliates nor any of its third party data providers makes any warranty, express or implied, as to the accuracy, completeness or timeliness of the data contained herein nor as to the results to be obtained by recipients. S&P has no obligation to update, modify or amend this data or to otherwise notify a recipient if any data changes or subsequently becomes inaccurate. The users of this data acknowledge and agree that the INAV+ Calculation is indicative only and may not reflect the true value of the underlying assets of the Fund.

The opinions, estimates or projections in the data do not reflect the opinions of S&P or its data providers. S&P has no obligation to update, modify or amend the data or to otherwise notify users in the event that any matter stated in the data, or any opinion, projection, forecast or estimate set forth herein, changes or subsequently becomes inaccurate.

Without limiting the foregoing, neither S&P, its affiliates nor any third party data provider shall have any liability whatsoever to you, whether in contract (including under an indemnity), in tort (including negligence), under a warranty, under statute or otherwise, in respect of any inaccuracies, errors or omissions, or any loss or damage (including indirect, incidental, special or consequential damages or lost profits) suffered by you as a result of or in connection with any opinions, recommendations, forecasts, judgments, or any other conclusions, or any course of action determined, by users of the data or any other person, whether or not based on the data, content, information or materials contained herein and whether or not such losses or damages could have been foreseen or prevented.

Copyright © S&P. All rights reserved.

iNAV Solactive

AUD$18.5235 04/05/2026 11:19:05 AM

The iNAV is calculated by Solactive AG (Solactive). The financial instrument is not sponsored, endorsed, promoted or sold by Solactive in any way and Solactive makes no express or implied representation, guarantee or assurance with regard to the iNAV, iNAV calculations or the fund.

NAV (MID)

AUD$18.3711 as at 30/04/2026

Unlisted
Entry Price as of 30/04/2026 $18.4078
Exit Price as of 30/04/2026 $18.3343

Ausbil Active Sustainable Equity Fund - Active ETF.
Notice to unitholders: The unit prices published above are displayed to 4 decimal places. Your statements and all other communications will continue to be published to 6 decimal places.

Performance

Ausbil Active Sustainable Equity Fund - Active ETF (Net of Fees)

As at 31 March 2026
  1 month
 
3 months
 
6 months
 

1 yr

2 yrs pa
 
3 yrs pa
 
5 yrs pa
 
7 yrs 
pa
Since inception
pa

 
Fund Return % -8.79 -5.60 -8.85 8.00 7.04 10.64 7.72 9.66 9.22
Benchmark % -7.15 -1.61 -2.61 11.67 7.17 9.54 8.63 8.58 8.36
Out/under performance
%
 
-1.65 -3.99 -6.24 -3.68 -0.12 +1.10 -0.91 +1.08 +0.86

Ausbil Active Sustainable Equity Fund - Active ETF. Fund returns are net of fees but before taxes and assumes reinvestment of distributions. Past performance is not a reliable indicator of future performance. The benchmark is the S&P/ASX 200 Accumulation Index. The since inception date is 31 January 2018.

Top Holdings

As at 31 March 2026
 
Name Fund Index Tilt
Commonwealth Bank 9.43% 10.89% -1.45%
Rio Tinto 7.24% 2.33% 4.91%
CSL 6.68% 2.65% 4.03%
ANZ Bank 6.58% 4.21% 2.37%
Telstra 4.43% 2.33% 2.10%
Evolution Mining 4.29% 0.99% 3.30%
Macquarie Group 4.00% 2.78% 1.23%
Wesfarmers 3.66% 3.21% 0.45%
PLS Group 3.52% 0.61% 2.91%
Sandfire Resources 3.47% 0.29% 3.18%

Any references to particular securities or sectors are for illustrative purposes only. It is not a recommendation in relation to any named securities or sectors.

Allocations

As at 31 March 2026

 

Assets

Region

Sector

Key Facts

Fund size as of 31/03/2026 A$394,926,637.22
Inception date 31/01/2018
Asset class Equity
Sector Equity - Australia
Benchmark S&P/ASX 200 Accumulation Index
APIR code AAP3940AU
Bloomberg AAP3940 AU Equity
ASX Ticker ASUS
Open to new investors Yes
Pricing frequency Daily
Distribution frequency Half-yearly

Invest Directly With Us

Ausbil accepts direct investments from individuals, companies, superfunds and master trust clients. The minimum investment for all retail funds is $20,000.
Invest Now

Invest Via a Platform

Ausbil recommends consulting your financial adviser if you would like to invest with us via a platform. A platform offers a broad range of financial assets and products – grouping products, like managed funds, insurance, shares and superannuation into a single account.
Invest Now

Invest Via ASX

Contact your broker or speak to your financial adviser.
Invest Now

Invest Directly With Us

Ausbil accepts direct investments from individuals, companies, superfunds and master trust clients. The minimum investment for all retail funds is $20,000.
Invest Now

Invest Via a Platform

Ausbil recommends consulting your financial adviser if you would like to invest with us via a platform. A platform offers a broad range of financial assets and products – grouping products, like managed funds, insurance, shares and superannuation into a single account.
Invest Now

Invest Via ASX

Contact your broker or speak to your financial adviser.
Invest Now

Our Awards & Ratings

Awards & Ratings

Lonsec

Highly Recommended (October 2025)

Awards & Ratings

Lonsec & Money Management

2023 Responsible Investment Fund of the Year

Awards & Ratings

RIAA

(July 2025)

Awards & Ratings

Zenith

Recommended (June 2025)

Awards & Ratings

Zenith Fund Awards

2020 Winner

Disclaimer for awards and ratings is available here.

Reach out to our team

Reach out to our team

If you have any questions or comments about our funds or the ways to invest, please get in touch with us.

Contact Us