The Fund is long biased, research driven, active equity long/short strategy investing in listed ASX companies.
The Fund has significantly outperformed the ASX200 Accumulation Index since its inception in May 2006 and also has significantly lower risk KPIs. The Fund has an annualised return of 8.20% p.a. with a volatility of 7.71%, compared to the ASX200 Accumulation's return of 6.20% p.a. with a volatility of 14.16%.
The Fund also has a strong focus on capital protection in negative markets. Portfolio Managers Kristiaan Rehder and Stuart Larke have significant market experience, while Bennelong Funds Management provide infrastructure, operational, compliance and distribution capabilities.
For further details on the Fund, please do not hesitate to contact us.