APPLICATIONS NOW OPEN

Minimum Investment $25,000


Access to a concentrated best ideas portfolio 
of high-quality global small and mid-cap companies with the potential to deliver sustained superior growth.

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Overview

The Polen Capital Global Small and Mid Cap Fund is a long only, small and mid cap global equities fund. The Fund typically invests in a high conviction portfolio of what Polen believes to be 50-80 high-quality companies within the global small and mid cap company universe.

The team’s investment philosophy centres on the belief that accelerating growth in revenue and earnings is the primary driver of stock price appreciation over the long term.  As a result, the team believes opportunities can be realised by identifying and exploiting key inflection points in a company’s fundamentals as markets are often slow to react to fundamental improvements in a business. 

The investment process is based on deep, balanced, and collaborative research across the four member team with a focus on companies with strong and sustainable growth prospects. 

Polen Capital embeds ESG analysis into its comprehensive review of a company. Read Polen Capital's commitment to ESG.

Fund Profile

Number of holdings 50 - 80
Style Growth
Benchmark MSCI ACWI SMID Cap Net Total Return Index, in AUD dollars
Fund fact sheet Download

Montgomery Investment Management has partnered with Polen Capital to manage the investment management function.

Sub Investment Manager: Polen Capital Management, LLC

Founded in 1979, U.S. based Polen Capital is a high-conviction growth investment manager. As of 2025, the firm’s established team manages over US$50 billion* in total assets and their longest-running flagship investment strategy has delivered on average double digit annual returns for more than 30 years. 

*Asset figures include discretionary as well as non-discretionary assets. 

About the fund See all videos

Polen Capital Global Small and Mid Cap Fund Rating

The Polen Capital Global Small and Mid Cap Fund has been rated Approved

Performance

Comparative Returns Since Inception to 30/09/2025 (After all fees)

PERFORMANCE CHART
LATEST UNIT PRICE
FUND PERFORMANCE
INCOME DISTRIBUTION
[["Date","Polen Capital Global Small and Mid Cap Fund","MSCI ACWI SMID (AUD)"],["21\/10\/21",100000,100000],["31\/10\/21",99470,99600],["30\/11\/21",97570,101301],["31\/12\/21",95550,102534],["31\/01\/22",81905,98351],["28\/02\/22",74870,95054],["31\/03\/22",71520,92904],["30\/04\/22",66450,90830],["31\/05\/22",62470,89821],["30\/06\/22",58274,84404],["31\/07\/22",62543,89636],["31\/08\/22",60870,88692],["30\/09\/22",57404,84819],["31\/10\/22",58740,90960],["30\/11\/22",62040,93228],["31\/12\/22",59170,89348],["31\/01\/23",62130,93225],["28\/02\/23",63500,95008],["31\/03\/23",65200,94337],["30\/04\/23",66840,95875],["31\/05\/23",64029,95230],["30\/06\/23",65317,98087],["31\/07\/23",68127,101559],["31\/08\/23",66317,101848],["30\/09\/23",62949,97569],["31\/10\/23",58710,93957],["30\/11\/23",62010,98432],["31\/12\/23",65114,103021],["31\/01\/24",64069,104132],["29\/02\/24",68037,109524],["31\/03\/24",68300,113002],["30\/04\/24",64150,109107],["31\/05\/24",63311,109941],["30\/06\/24",61140,108237],["31\/07\/24",65969,116109],["31\/08\/24",63670,113643],["30\/09\/24",63035,113961],["31\/10\/24",65880,117175],["30\/11\/24",69890,123653],["31\/12\/24",69613,123388],["31\/01\/25",71760,126496],["28\/02\/25",68540,124295],["31\/03\/25",65380,120495],["30\/04\/25",64690,118828],["31\/05\/25",67930,124902],["30\/06\/25",69180,128135],["31\/07\/25",71630,131758],["31\/08\/25",71980,134275],["30\/09\/25",72920,134704],["",null,null]]

Most Recent Unit Price* DOWNLOAD HISTORY

Buy
0.7554
Redeem
0.7516
Mid
0.7535

*this is a forward pricing fund, the price you receive is based on close of market prices.

-27.08%
Polen Capital Global Small and Mid Cap Fund
34.70%
MSCI ACWI SMID (AUD)
-61.78%
Out/Under Performance
  Polen Capital Global Small and Mid Cap Fund MSCI ACWI SMID (AUD) Out/Under Performance
1 month 1.31% 0.32% 0.99%
3 months 5.41% 5.13% 0.28%
6 months 11.53% 11.79% -0.26%
1 year 15.68% 18.20% -2.52%
3 years (p.a.) 8.70% 16.67% -7.97%
Since inception 
(21 October 2021) 
-27.08% 34.70% -61.78%
Compounded annual return since inception -7.70% 7.85% -15.55%

 

  Distribution per unit
June 2025  0.00 cents 
June 2024 0.00 cents
June 2023 0.00 cents
June 2022  0.00 cents 

Polen Capital Global Small and Mid Cap Fund performance is net of fees and includes reinvestment of all distributions.

The issuer of units in the Polen Capital Global Small and Mid Cap Fund (ARSN: 652 035 642) is the Fund’s responsible entity Fundhost Limited (ABN 69 092 517 087) (AFSL: 233045). The Product Disclosure Statement (PDS) contains all of the details of the offer. Copies of the PDS and Target Market Definition (TMD) are available from Montgomery Investment Management (02) 8046 5000 or at www.montinvest.com and at https://fundhost.com.au. 

An investment in the Fund must be through a valid paper or online application form accompanying the PDS. Before making any decision to make or hold any investment in the Fund you should consider the PDS in full.

The information provided does not take into account your investment objectives, financial situation or particular needs. You should consider your own investment objectives, financial situation and particular needs before acting upon any information provided and consider seeking advice from a financial advisor if necessary.

You should not base an investment decision simply on past performance. The investment returns of the Fund are not guaranteed, and so the value of an investment may rise or fall.

Investment Team

Polen is passionate about its mission to protect and grow its clients' capital while uncovering unique opportunities to invest in some of the world’s most sustainable businesses. Polen has a culture focused on making a meaningful difference in the lives of the investors who entrust it with their financial well-being.

Maneesh Singhal, CFA, is the Lead Portfolio Manager of Polen Capital’s Small and Mid Cap Fund. He is supported by the US Small Company Growth team and the broader firm resources available to him.

Meet our people

Maneesh Singhal

Portfolio Manager & Analyst
Read Bio +

HOW TO INVEST

After accessing the Product Disclosure Statement and reading in full the investment objectives and risks of investing in the Polen Capital Global Small and Mid Cap Fund:

1

Complete the online application form and ID verification online on the Olivia123 platform
(approx. 10 minutes)

2

Submit the completed application form online to the Administrator

3

Transfer the funds and an investment confirmation will be issued directly by the Administrator

TWO POLEN GLOBAL STRATEGIES ONE ONLINE APPLICATION

Launch Polen Capital Online Application

Select between Polen Global Growth Fund or Polen Global Small and Mid Cap Fund, or a combination of both

For assistance completing your application form, you can speak directly with the Administrator, Fundhost Limited, on 02 8223 5400.

If you wish to make an additional investment (top-up) an existing investment in the Polen Capital Global Small and Mid Cap Fund, please see the instructions here.

Product Disclosure Statement and Applications

The Product Disclosure Statement and the fund information pack will be sent via email to people. 

If you would prefer to discuss the new fund, please call David Buckland or Toby Roberts from Montgomery Investment Management on 02 8046 5000 to discuss the Polen Capital Global Small and Mid Cap Fund in more detail.

INSIGHTS Subscribe to insights

October 1, 2025

Optimism surrounds artificial intelligence numbers

By Roger Montgomery

As I delve a little deeper into the aggregate artificial intelligence (AI) capital expenditure (capex) numbers and the revenue and profits subsequently required to recoup them, one thing stands out: a world of AI forecasts that are universally optimistic. That’s not usual in any hype-inspired boom, but these numbers are extraordinary. Table 1.
September 4, 2025

Do new highs make sense?

By Roger Montgomery

There is considerable academic and market commentary showing that equity markets often take time – sometimes weeks or months – to digest new information fully. While Eugene Fama’s efficient market hypothesis posits that prices reflect available information almost instantly, we know that information is not evenly distributed.
August 20, 2025

Summing up the bubble prognosis

By Roger Montgomery

For the last month or two, I have been writing with increasing frequency about the possibility of the stock market boom transitioning into a bubble. There are a variety of reasons for this, and they usually fall under two broad headings. The first is technical and the second is behavioural.

HAVE MORE QUESTIONS?

Frequently Asked Questions

  • 1. Is this Fund suitable for me? – Target Market Determination (TMD)

    The Fund has a long-term objective and is suitable for those investors willing to assume high risk while seeking capital growth. Statistically, the major share markets produce a negative investment return, on average, every five years (or less) and investors must take the potential for capital loss into consideration. You can learn more in the Target Market Determination (TMD) here.

  • 2. What is the fund’s investment objective?

    The Polen Capital Global Small and Mid Cap Fund's objective is to outperform the MSCI ACWI SMID Cap Net Total Return Index, in Australian Dollars, over a rolling five-year period, net of fees. Returns are not guaranteed.

  • 3. How does the fund deal with currency hedging?

    Polen Capital does not hedge currency risk, and the belief is this would add cost and complexity to the portfolio without materially reducing risk of capital loss. Polen’s expectations are that currency volatility is unlikely to be a material source of risk or return in the portfolio over a typical holding period. 

  • 4. Where does the fund invest?

    Country allocation is a residual outcome of the stock selection process. Typically, Polen Capital invests in businesses in at least five countries and often ten or more. 

    The current portfolio has a 45% weighting to North America, 27% to Europe, 17% to Asia Pacific, 5.8% to Latin America and 2% to Africa and the Middle East.

  • 5. Does the fund hold a cash weighting?

    The portfolio is close to fully invested at all times; cash will be minimal.

  • 6. What is the minimum initial investment?

    A minimum initial investment of $25,000 is required.

    You may also add to your initial investment through a lump sum additional investment, minimum of $5,000 which are generally processed daily. We also offer a direct debit monthly savings plan, requiring a minimum investment of $500 per month. This is processed on the 15th of each month or the next business day.

  • 7. How often is income paid?

    Any income distributions are paid annually (as at 30 June) and can be reinvested in full back into the Polen Capital Global Small and Mid Cap Fund or paid out entirely to the financial institution account nominated on your application form. You can indicate your choice on the application form.

    If you do not make a choice, then distributions will be reinvested. Any distributions reinvested are reinvested at the ex-distribution mid-price.

    Distributions will not be paid by cheque. Distribution payments are typically made within 20 business days after the end of the distribution period. Distributions are not guaranteed.

  • 8. How can I see my unit balance and investment value online?

    Our administrator, Fundhost, has a portal that investors can access to see their balance and download all statements. Once invested, you will be given registration details.

    Access the Fundhost client log in here
    LOGIN


    Unit prices are published each day on the website: Access Unit Prices

  • 9. How do I increase my holding?

    You can make a form-free additional investment via either BPAY or EFT. Find the full instructions here.

  • 10. How do I redeem my funds?

    To redeem your holding, simply fill out the Redemption Request form and have it signed by the authorised signatories on the account. Please see the manage my investments section.

    If Fundhost are paying to a bank account they have on file, they can accept a faxed or scanned copy of the redemption instruction.

    In normal circumstances, redemptions are processed daily, with funds generally received back to the investor within 2 business days. The cut off to receive your redemption request to receive that day’s price is 4pm Sydney time. Refer to the PDS for more information.

Have another question?

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