4D Emerging Markets Infrastructure Fund

APIR: BFL7394AU

Manager Summary

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.