NAV^

As of
iNAV*
$1.42
As of 4:14PM 17/04/2025

Key Information

Fund Details
Listing Exchange  ASX – XASX
Fund Inception Date  30 September 2008
ETF Listing Date 14 April 2025
Base Currency for Fund  AUD
Valuation Frequency  Daily
Identifiers
Ticker CIIH
IRESS Code  CIIH.AXW
IRESS iNAV Code  CIIH.AXW
Charges
Management Fees and Costs1   1.025%
Pricing
Daily Price (NAV) as of
Indicative NAV (iNAV)* $1.42 as of 4:14PM 17/04/2025
Distributions
Distribution Frequency  Quarterly
Latest Distribution (CPU) 0.40

For Performance, Risk, and Portfolio Information, please visit the Managed FundOpens in new window page.

Investment Committee

The ClearBridge Global Infrastructure Income Fund (Hedged) Active ETF is managed by an experienced investment committee comprising of the following members:

Fund Manager

Nick Langley

Fund Manager

Shane Hurst

Fund Manager

Charles Hamieh

Daniel Chu

Daniel Chu, CFA

Important Information for Investors

Franklin Templeton Australia Limited (AFSL No. 240827) ("Franklin Templeton"), as Responsible Entity, is the issuer of the ClearBridge Global Infrastructure Income Fund (Hedged) Active ETF (ASX:CIIH). The information contained on this website is directed to wholesale investors and financial advisers only.