The Fund principally invests in equities of Australian and New Zealand companies listed on the ASX and NZX that fall outside the S&P/ ASX200 Index and some cash. The Investment Manager is an active ...
The Fund primarily invests in Australian shares listed on the Australian sharemarket. The managers take a quantitative approach to investing in Australian shares. The Fund actively takes a position in ...
The fund employs credit, distressed, event-driven, fixed income, long/short equity, market neutral, short selling, value and opportunistic strategies. The investment objective & strategy is a summary ...
To provide a total return, consisting of capital appreciation and income, by gaining exposure to a diversified portfolio of companies and real estate securities listed on approved developed and ...
The Fund aims to provide long-term capital growth by investing primarily in common shares of companies located across in the world. The Fund offers investors the opportunity to invest in an actively ...
The strategy is quantitative led and seeks to generate real returns in the more liquid parts of the fixed income market using specialised techniques only available to institutional grade fixed income ...
The Fund will be managed as a single portfolio of listed global infrastructure securities. Infrastructure is defined to include regulated utilities in gas, electricity and water; transport ...
The Fund invests predominantly in a broad range of international shares listed on stock exchanges in developed and emerging international markets. Derivatives may be used to obtain or reduce exposure ...
The Fund typically invests in a diversified portfolio mix with exposure to growth investments of around 30% and defensive investments of around 70%. Derivatives may be used to implement investment ...
The Fund invests in global equities that satisfy Pathfinder’s socially responsible screening. It achieves this by investing in Pathfinder’s wholesale Responsible Investment Fund which targets a ...