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15 Mar 2017 - Totus Alpha Fund

By: Australian Fund Monitors
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Report Date14 March 2017
ManagerTotus Capital
Fund NameTotus Alpha Fund
StrategyEquity Long/Short
Latest Return DateFebruary 2017
Latest Return-0.46%
Latest 6 Months-15.45%
Latest 12 Months-6.35%
Latest 24 Months23.02%
Annualised Since Inception19.63%
Inception Date02 April 2012
FUM (millions)AU$73
Fund OverviewThe Totus Alpha Fund aims to maximise returns for investors through fundamental industry and company research and active portfolio management. The investment strategy is based on identifying medium to long term structural investment themes and seek absolute returns by investing in securities that have concentrated exposure to those themes.

The Fund is a long/short investment fund principally investing in listed entities, commodities, futures and options in Australia and internationally. The Fund is not a market neutral fund and accordingly may switch between net long positions and net short positions. The Fund may use short sales and derivatives.

Gearing may be used to enhance returns and the Fund may be geared in excess of 100% of the Fund's Net Asset Value. There is a limit to net exposure of 150%.
Manager CommentsTotus Alpha Fund fell 0.46% in February, to take the latest 24 months return to +23.02%. Since inception, the Fund has an annualised return of 19.63% p.a, with a volatility of 16.29% p.a. This annualised performance has been achieved with a beta of 0.1091 and a correlation of 0.792 to the ASX 300 Accumulation Index.

Top contributors in February were long positions in Ramsay +0.46%, Aristocrat +0.30% and Westpac +0.29%. Biggest detractors were short positions in Estia -0.50% and Blue Sky -0.39%, and a long position in Adairs -0.48%. As of 28 February, the Fund had a net exposure of 42.7% and a gross exposure of 171.2%. The Fund held 99 positions (44 long and 55 short).
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