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Printed: 21 September 2026 2:10 AM

15 Feb 2016 - Alexander Credit Opportunities Fund

By: Australian Fund Monitors
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Report Date12 February 2016
ManagerAlexander Funds Management
Fund NameAlexander Credit Opportunities Fund
StrategyFixed Income
Latest Return DateJanuary 2016
Latest Return0.43%
Latest 6 Months3.48%
Latest 12 Months7.08%
Latest 24 Months16.69%
Annualised Since Inception17.63%
Inception Date31 October 2009
FUM (millions)AU$65.993
Fund OverviewThe aim of the fund is to identify opportunities in the fixed income credit markets. The Fund invests in a full spectrum of fixed income products that includes but is not limited to: corporate bonds,; bank debt; credit derivatives; bank loans;commercial paper;hybrid securities; and mortgage-backed and asset-backed securities.

The Fund may also invest in derivatives for hedging purposes.

The portfolio of the Fund comprises primarily Investment Grade holding of 75% of the Fund's assets. Benchmark allocations are Australasia 50% to 100%, North America 0% to 50% and Europe 0% to 50%. Currency hedging may take place depending on benefits to the Fund.
Manager CommentsAlexander Credit Opportunities Fund returned +0.43% for the month of January. Since inception, the Fund has an annualised return of 17.63% p.a (RBA Cash Rate Index 3.33% p.a), to give notable Sharpe and Sortino Ratio of 1.89 and 18.83 respectively. The Fund has delivered positive returns for over 95% of the months since inception.

For January majority of the Fund's portfolio composition was in Residential Mortgage Backed Securities (RMBS) at 54%, followed by Short-dated loans at 21%. In the volatile markets, the credit duration of the Fund has been reduced over the last 6 months to 1.4 years; its lowest level since inception. This defensive bias leaves the Fund in a prime position to take advantage of opportunities in the fixed income markets as they arise.

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