• publish

ASX Investment Products – mFund Updates

Market developments and guidance on compliance, operational and general issues

mFund Updates are email alerts sent to mFund product issuers to advise of market developments and to provide guidance on compliance, operational and general issues. To be added to the mFund Updates subscription list, please email investmentproducts@asx.com.au

Date ReleasedContent
November 2023
  • Response to consultation seeking feedback on the future of the ASX Managed Fund Settlement service.
April 2023
  • Consultation seeking feedback regarding a proposed wind down and closure of the ASX Managed Fund Settlement service to be released in June 2023.
  • Consultation period to remain open for six weeks.
August 2021
  • Target Market Determination (TMD) documents
  • Distributor selection in relation to Design & Distribution Obligations
  • Participant Update – nabtrade
  • mFund Service – Overview
December 2020
  • Updated mFund Product Application Forms and Checklist
  • PDS and Fund Profile lodgement for mFund
December 2019
  • Updated mFund Product Application Forms and Checklist
November 2019
  • Change to ASX Guidance Note 20 effective 1 December 2019
  • Product Disclosure Statement updates
  • DRP adjustments performed by the PISP/Registry
  • Application processing by the PISP/registry
  • Market Announcements Office closes early on shortened trading days
July 2019
  • Product Disclosure Statement Updates
February 2019
  • New mFund Product Application Forms and Checklist
July 2018
  • Guidance for removal of a fund from the mFund settlement service
  • Proposed change to Fund Request Cut-Off time - impacting brokers, issuers and PISPs
May 2018
March 2018
  • mFund roundtable in February 2018
  • Monthly Redemption Report
January 2018
  • 2018 mFund roundtable
October 2017
  • Confirmation of the issuance of mFund products
  • CRS/CHESS 10 working groups
  • New ISO Financial Identifiers
August 2017
  • Change to timing of Issuer fees
  • PDS lodgement