NEWS

11 Jun 2021 - Manager Insights | Magellan Asset Management
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Damen Purcell, COO of Australian Fund Monitors, speaks with David Costello, Portfolio Manager of the MFG Core Infrastructure Fund. The Fund has recently been added to the fundmonitors.com database but has been operating since December 2009. Prior to December 2019 it was only available to institutional investors. Since inception it has returned +12.38% p.a. with an annualised volatility of 9.90%. |

7 Jun 2021 - Webinar: Cryptocurrencies
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This week Fund Monitors held a webinar on the subject of cryptocurrencies and were joined by Clint Maddock from Digital Asset Funds Management (DAFM) to try to lift the level of understanding for those interested or intrigued by the opportunity, but unsure where to start or who to listen to. The subject is complex, the risks considerable, but what emerged was that there are also opportunities to achieve returns without taking the levels of directional risk symptomatic of Bitcoin and other digital currencies.
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2 Jun 2021 - Manager Insights: ESG | Longlead Capital Partners
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ESG investments grew considerably in the Asia-Pacific region in 2020 and there were a number of net-zero emissions targets released by Asia-Pacific countries in late 2020. Dr. Andrew West, Managing Director & Founder of Longlead Capital Partners, speaks about how this has changed the way Longlead look at companies and build their portfolio.
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31 May 2021 - Manager Insights | Longlead Capital Partners
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Damen Purcell, COO of Australian Fund Monitors, speaks with Dr. Andrew West, Managing Director and Founder at Longlead Capital Partners. Andrew discusses the structural growth opportunities Longlead is looking at and shares his views on how the rotation to value in global markets has affected Longlead's investment universe. The Longlead Pan-Asian Absolute Return Fund is an equity long/short fund investing in the Asia Pacific region. The Fund started in December 2020 and has risen +5.22% CYTD.
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20 May 2021 - AIM Quarterly Webinar
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The AIM Investment team discusses why we are at a point in the cycle where it's time to be disciplined. Sectors discussed include streaming, BNPL, food delivery, telemedicine and autos. Funds operated by this manager: |

12 May 2021 - Webinar | Laureola Q1 2021 Review
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Tony Bremness, Managing Director & Chief Investment Officer of the Laureola Investment Fund, discusses the performance of the fund over the first quarter of CY21. The Fund invests in Life Settlements. Since inception in May 2013, it has returned +15.88% p.a. with an annualised volatility of 5.56%. |

7 May 2021 - Managers Insights | Delft Partners on Taiwan
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Australian Fund Monitors' CEO, Chris Gosselin, speaks with Robert Swift from Delft Partners about the Delft Partners Global High Conviction Strategy. Robert shares his thoughts regarding the tension around the South China Sea. Since inception in August 2011, the Strategy has risen +16.21% p.a. with an annualised volatility of 12%. Over that period, the Strategy has achieved Sharpe and Sortino ratios of 1.16 and 2.18 respectively, highlighting its capacity to achieve good risk-adjusted returns while avoiding the market's downside volatility. Funds operated by manager: Delft Partners Global High Conviction Strategy, Delft Partners Asia Small Companies Strategy, Delft Partners Global Infrastructure Strategy |

30 Apr 2021 - Managers Insights | Vantage Asset Management
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Chris Gosselin, CEO of Australian Fund Monitors, speaks with Michael Tobin, Founder and Managing Director at Vantage Asset Management. Established in 2004, Vantage Asset Management Pty Limited is an independent investment management company with expertise in private equity, funds management, manager selection and operational management. Vantage Private Equity Growth 4 (VPEG4) is a closed-ended Private Equity fund which started on 30 September 2019 and which is due to close on 30 September 2021. The Fund continues the investment strategy of Vantage's previous two Private Equity Funds, VPEG3 and VPEG2. The Fund invests in Private Equity funds based in Australia, along with Permitted Co-investments, to create a well diversified portfolio of Private Equity investments.
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23 Apr 2021 - Manager Insights | Collins St
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Damen Purcell, COO of Australian Fund Monitors, speaks with Rob Hay, Head of Distribution & Investor Relations at Collins St Asset Management. The Collins St Value Fund is an index unaware fund which seeks to create strong investment returns over the medium and long term with capital preservation a priority. The fund has performed strong vs the ASX200 Total Return Index since inception, outperforming by 7.0% per annum.
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16 Apr 2021 - Managers Insights | Insync Fund Managers
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Chris Gosselin, CEO of Australian Fund Monitors, speaks with Monik Kotecha Chief Investment Officer at Insync Fund Managers. Insync Fund Managers operate two funds, the Insync Global Capital Aware Fund (hedged) and the Insync Global Quality Equity Fund (unhedged). The two funds have the same strategy, the only difference being that one is hedged and the other is unhedged. The Insync Global Capital Aware Fund was started in October 2009 and since then has returned +11.43% p.a. with an annualised volatility of 9.90%. Over the same period, the Insync Global Quality Equity Fund has returned +13.38% p.a. with an annualised volatility of 10.64%.
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