05 March 2026
Effective Thursday 5 March 2026, Warakirri Asset Management as Responsible Entity has issued updated Product Disclosure Statements and an updated Additional Information Booklet for the following funds:
The updates are largely administrative in nature and include refreshed fees and costs information to 30 June 2025, along with the following important changes:
Accessing updated documents and forms
Updated documents can now be accessed on the Warakirri website here.
To ensure you have access to the latest version of our disclosure documents at all times, we recommend you update your systems to point to the relevant document for each fund as follows:
Notice to Investors
You can read the notice sent to unitholders here.
Questions?
If you have any questions, you can contact us via email investorrelations@warakirri.com.au or call us on 1300 927 254.