First Sentier Active Cash Fund Active ETF

ASX: FSCF

First Sentier Active Cash Fund Active ETF

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Strategy overview

Issuer:

Key facts

Indicative NAV*
per unit as at

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Pricing information
Entry Price
Exit Price
NAV per unit as at
Key dates

ASX announcements

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The iNAV reflects the estimated NAV per unit in respect of the Fund’s assets that have live market prices during the trading day. The issuer of the Fund has engaged ICE Data Indices, LLC as iNAV calculation agent to independently calculate the iNAV.
* iNAV calculations as shown (the "data") are provided by ICE Data Indices, LLC or its third party suppliers and are updated during ASX trading hours. iNAV calculations are indicative and for reference purposes only. The Fund is not sponsored, endorsed, sold or marketed by ICE Data Indices, LLC, its affiliates ("ICE Data") and ICE Data or its respective third party suppliers MAKE NO EXPRESS OR IMPLIED WARRANTIES, AND HEREBY EXPRESSLY DISCLAIM ALL WARRANTIES OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE WITH RESPECT TO THE iNAV, FUND OR ANY FUND DATA INCLUDED THEREIN. IN NO EVENT SHALL ICE DATA HAVE ANY LIABILITY FOR ANY SPECIAL, PUNITIVE, DIRECT, INDIRECT, OR CONSEQUENTIAL DAMAGES (INCLUDING LOST PROFITS), EVEN IF NOTIFIED OF THE POSSIBILITY OF SUCH DAMAGES. You acknowledge that the data is provided for information only and should not be relied upon for any purpose.

Strategy overview

Issuer:

Key facts

Pricing information
NAV per unit as at
Key dates

ASX announcements

Strategy Overview

This Fund is an Irish domiciled UCITS fund marketed in the UK under the Overseas Fund Regime (OFR). The Fund is not subject to the UK sustainability disclosure and labelling regime.

Key Facts

Entry Price:
Exit Price:
Price Date:
Issuer:
* The unit price as of 28 March 2025 for the Fund will be delayed temporarily given the fund termination is in progress.
*
* This is an annualised interest rate from the past seven days. For actual performance for our Cash Funds, please view the performance page.

Issuer:

Performance returns are calculated net of management fees and transaction costs and do not reflect brokerage that investors incur when buying and selling units on the ASX. Performance returns for periods greater than one year are annualised. Past performance is not a reliable indicator of future performance.

Offering a strategic approach to cash, with the scale of Australia’s largest cash manager.

The First Sentier Active Cash Fund Active ETF provides access to a wider range of cash investments and rates generally not available to the retail market.​

Fund information

ASX code FSCF
APIR PIM2296AU
Management fees and cost* 0.20% p.a.
Benchmark Bloomberg AusBond Bank Bill Index
Issuer The Trust Company (RE Services) Limited
Registry MUFG Corporate Markets

 

* Information on management fees and costs (including estimated indirect costs) are set out in the fund's PDS.

Ready to invest?

This product is intended for use as a solution, major, core component, minor or satellite allocation within a portfolio for a consumer who is seeking income and capital preservation and has a low risk and return profile for that portion of their investment portfolio. ​

Questions?

Learn more about active ETFs

What are the risks?

Although all investments carry risk, the level of risk is dependent on the type of investment strategy and the underlying investments. Generally, the higher the potential return of an investment, the greater the risk.

The risks of investing in the First Sentier Active Cash Fund Active ETF include:

ASX trading price risk

The price at which investors may buy and sell units on the ASX may differ materially from the NAV per unit of the Quoted Class.

Credit risk

Risk of an issuing entity defaulting on its obligation to pay interest and principal in full and/or on time which may adversely affect the returns of the Fund.

Interest rate risk

Risk that the investment value or future returns of an asset of the Fund may be adversely impacted either directly or indirectly by changes in interest rates.

As with any investment, there are no guarantees on the value of the investment or the income generated from it. Investors may get back less than the original amount invested. For a full description of the terms of investment and the risks, please see the Product Disclosure Statement for each fund. If you are in any doubt as to the suitability of our funds for your investment needs, please seek financial advice.