Established in April 2015 in partnership with Bennelong Funds Management, 4D Infrastructure invests in listed global infrastructure assets. Principals Sarah Shaw and Greg Goodsell are supported by four analysts, creating a team with significant infrastructure experience including sell and buy side broking, portfolio management, equity research & strategy, debt, fund start-ups, investment banking and consulting.
Strategy Summary
The 4D Emerging Markets Infrastructure Fund invests in listed infrastructure companies in emerging markets across the globe. The Fund consists of a concentrated investment portfolio of 20-60 stocks and aims to identify quality listed global emerging market infrastructure securities, trading at or below fair value with sustainable, growing earnings and dividends.
Key Terms
Status:
Open
Inception Date:
Aug 2017
Strategy:
Infrastructure
Style:
Blend
Geography:
Global
Domicile:
Australia
Investors:
Wholesale & Retail
Min. Investment:
AU$ 25,000
Distributions:
Annually
Applications:
Daily
Fund Size:
AU$ 9.58m
Management Fee:
1.15%
Manager FUM:
AU$ 584.59m
Performance Fee:
10.25%
Key Statistics
Fund
Index*
Fund
Index*
Mar 2024:
0.73%
4.48%
Sharpe1:
0.30
0.54
1 Year:
8.28%
6.59%
Sortino1:
0.31
0.64
3 Years1,2:
10.34%
10.99%
Best Month1:
13.32%
8.01%
5 Years1,2:
5.05%
6.65%
Worst Month1:
-22.16%
-18.26%
Inception1,2:
5.00%
7.64%
Volatility1,2:
15.29%
12.35%
Up-Capture1:
77%
N/A
Down-Capture1:
99%
N/A
*S&P Global Infrastructure TR Index (AUD), 1Since Aug 2017, 2Annualised
Cumulative Returns
Fund Index
4D Emerging Markets Infrastructure Fund - Cumulative Performance vs S&P Global Infrastructure TR Index (AUD)
Drawdowns
Fund Index
Drawdown%
Fund Index
Quintile Ranking vs. Infrastructure Peer Group (24 funds) as at March 2024
1 Year
3 Year
5 Year
7 Year
4D Emerging Markets Infrastructure Fund
S&P Global Infrastructure Index (AUD)
Quintile Rankings display Key Performance Indicators (KPI's) against the fund's Peer Group. Each green square ranks the fund in one quintile (or 20%) of its peer group - five green squares indicate the fund is in the best quintile for each KPI. The performance of the peer group's underlying index is shown by a red dot.