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Printed: 20 September 2026 9:45 PM

23 Jun 2015 - Avenir Value Fund

By: Australian Fund Monitors
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Report Date18 June 2015
ManagerAvenir Capital Pty Ltd
Fund NameAvenir Value Fund
StrategyEquity Long
Latest Return DateMay 2015
Latest Return4.50%
Latest 6 Months4.50%
Latest 12 Months5.20%
Latest 24 Months37.81%
Annualised Since Inception16.28%
Inception Date01 August 2011
FUM (millions)AU$13
Fund OverviewThe Fund runs a relatively concentrated portfolio which allows our best ideas to drive performance. The Fund also invests with a longer term time horizon than many in the investment management industry as we believe that, given time, the underlying value of a well chosen business will always prevail over short-term mis-pricing that may occur in a company's securities.

The Fund will invest in securities where Avenir believes the company is simply mis-priced and deeply undervalued and offers significant potential for revaluation. The Fund will also invest in companies that are subject to specific corporate events such as mergers, acquisitions, restructurings, recapitalisations, spin-offs, demergers, management change, distressed situations, and other sharply delineated corporate events. The Fund will also selectively invest in short positions in companies where Avenir believes the company is significantly overvalued or where the company's business model is broken or structurally challenged.
Manager CommentsAvenir Value Fund had a strong performance of 4.50% during the month of May, compared to the ASX 200 Accumulation Index's 0.40%. The Fund's performance since inception was 16.28% p.a. (Index 12.33% p.a.). The Fund's cumulative performance since inception was 77.30% compared to the MSCI All Cap All Country Accumulation Index's 44.30%.

The Fund's notable Sharpe and Sortino ratios are 1.12 and 1.92 respectively since inception in August 2011. At month-end, the Fund's geographical disposition was 46.3% in US, 13.4% in Asia, 12.8% in Western Europe, 9.9% in other and rest 17.20% as cash. The top 10 holdings were 61% of NAV.

Click below to view the May 2015 Fund Report
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