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Printed: 21 September 2026 2:42 AM

16 Mar 2016 - The Paragon Fund

By: Australian Fund Monitors
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Report Date14 March 2016
ManagerParagon Funds Management
Fund NameThe Paragon Fund
StrategyEquity Long/Short
Latest Return DateFebruary 2016
Latest Return-5.20%
Latest 6 Months1.09%
Latest 12 Months2.71%
Latest 24 Months23.96%
Annualised Since Inception14.73%
Inception Date28 February 2013
FUM (millions)AU$35.9
Fund OverviewThe Paragon Fund is a concentrated long/short Australian equities product that is fundamentally driven with a focus on the industrial and resource sectors. Paragon's own research process and active portfolio management is overlaid with risk management and an overarching focus on capital preservation.

Paragon believes that markets are not always efficient, exhibiting a common tendency to price securities well outside of their intrinsic value over the medium term. This market characteristic provides the opportunity for Paragon, an active manager with a flexible mandate, to generate superior investment returns over the longer term.

Paragon believes that it is critical to understand both the companies and the industries in which they operate, in order to fully comprehend each investment opportunity. Accordingly, a fundamental approach to company research is taken. Assessing the potential downside is also paramount in framing the risk/reward trade-off for potential investments.

Manager CommentsThe Paragon Fund returned -5.2% for the month of February. Since inception the Fund has an annualised return of 14.73% p.a. vs the Index's 2.99% p.a. The Fund has a notable Sharpe and Sortino ratios of 1.05 (Index 0.11) and 1.90 (Index 0.07) respectively.

Key positive contributors for February included longs in Blackham Resources, Troy Resources and IDP Education, offset by declines in Amaysim (surprise profit downgrade) and the shorts as the market rallied into month end. At the end of the month the Fund had 34 long positions and 14 short positions.

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