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14 Mar 2011 - Performance Report: Commodity Strategies Active Long Only Programme

By: Australian Fund Monitors
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Report Date12 March 2011
ManagerCommodity Strategies
Fund NameCSL Active Long Only Programme
StrategyCommodities/CTA
Latest Return DateFebruary 2011
Latest Return4.13%
Latest 6 Months28.48%
Latest 12 Months23.11%
Latest 24 Months49.57%
Annualised Since Inception13.52%
Inception Date30 November 1999
FUM (millions)AU$52
Fund OverviewThe CSL Active Long Only programme seeks to achieve a long term total return that exceeds the return in the underlying benchmark, the Reuters Jefferies CRB Index while maintaining lower volatility than the benchmark. The Dow Jones-AIG and the GSCI are also monitored. The fund is unleveraged and operates in deeply liquid global commodity markets using systematic processes that enable it to be long in any individual market or allocated to cash, depending on the prevailing yields. The portfolio systems manage positions in trending or mean-reverting markets, with a core emphasis on risk management and capital preservation across every aspect of the process.
Manager CommentsCommodity Strategies Long Only recorded strong gains from the Energy (excluding natural gas) and Agricultural (excluding sugar) sectors in February, with metals - particularly silver - also contributing.

Grains, with the exception of corn, lost ground.
More Information» View detailed profile of this fund

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