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17 Dec 2010 - Performance Report: Merricks Capital Multi-Strategy Fund

By: Australian Fund Monitors
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Report Date16 December 2010
ManagerMerricks Capital
Fund NameMerricks Capital Multi-Strategy Fund
StrategyMulti Strategy
Latest Return DateNovember 2010
Latest Return3.72%
Latest 6 Months13.36%
Latest 12 Months7.59%
Latest 24 Months15.00%
Annualised Since Inception6.99%
Inception Date01 January 2008
FUM (millions)AU$35
Fund OverviewMerrick aims to generate absolute returns through a portfolio of investment strategies with low correlation, primarily in Asia.

The fund uses a top down/bottom up approach to generate absolute returns through a portfolio of three lowly correlated underlying strategies:

1. Long Short Equities
2. Soft Commodities, and
3. Event Driven.

The primary focus is on the industrials complex in Asia (Hong Kong, Japan and Australia) and Soft Commodities, which is also available as a standalone strategy if required.
Manager CommentsMerricks' Multi Strategy Fund made gains across all three sub strategies in November, with Event Driven leading the way adding 2.5%, while Market Neutral and Soft Commodities added 0.7% and 0.5% respectively.
More Information» View detailed profile of this fund

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