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Printed: 20 September 2026 1:27 PM

18 Dec 2013 - Cor Capital Fund

By: Australian Fund Monitors
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Report Date17 December 2013
ManagerCor Capital Pty Ltd
Fund NameCor Capital Fund
StrategyMulti Strategy
Latest Return DateNovember 2013
Latest Return-0.90%
Latest 6 Months1.19%
Latest 12 Months2.05%
Latest 24 Months
Annualised Since Inception4.95%
Inception Date08 August 2012
FUM (millions)AU$18
Fund OverviewThe Manager seeks to generate stable absolute returns over the medium term, regardless of prevailing economic or financial market conditions.

The Cor Capital Fund is a Multi- Asset Fund which combines a pre-determined strategic asset allocation with active but systemised rebalancing to generate returns and manage volatility whilst maintaining transparency and liquidity.

The Fund strategy is not reliant on accurate market predictions, forecasts or timing for success. Returns are generated in a number of ways;
1) by maintaining sufficiently large positions in a diverse group of asset classes,
2) via the 'volatility harvesting' consequences of active rebalancing, and
3) from the offsetting behaviour of certain asset classes under specific conditions. The combined portfolio is expected to exhibit relatively low volatility and low turnover.

In the interests of avoiding complexity, maintaining liquidity, and minimising reliance on third parties, the Fund strategy does not employ gearing, derivatives or short-selling.
Manager CommentsCor Capital Fund returned -0.90% during November, a weak month for equity markets which returned -1.31% (S&P/ASX 200 Accumulation Index).

The Manager comments 'During November the Fund's cash holdings made the largest positive contribution to performance (+0.08%) with equities (-0.26%) and precious metals (-0.64%) making negative contributions to the overall return.'

The Manager also notes that market volatility appears to be increasing again and the Fund's active re-balancing and broad asset allocation should allow it to capitalise while maintaining downside protection. Downside protection without the use of derivatives, gearing or short-selling necessitates an acceptance of some month-to-month volatility. The Manager expects the investment strategy to deliver medium-term stability regardless of financial market conditions given the Fund's asset allocation.
More Information» View detailed profile of this fund

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