Global equities investment: The fund invests in a diversified portfolio of global equities. The investment team seeks to identify companies with strong management teams, sound business models, and attractive growth prospects.
Currency hedging: The fund is hedged against currency fluctuations, which reduces the risk of foreign exchange movements for Australian investors.
Active management: The fund is actively managed by an experienced investment team. The team is constantly monitoring the market and making changes to the portfolio as needed.
Risk management: The fund employs a rigorous risk management framework to protect shareholder capital. The risk management framework includes diversification, position sizing, and stop-loss orders.
Performance reporting: The fund provides comprehensive performance reporting to investors. The reporting includes information on the fund's investment strategy, portfolio holdings, and performance results.
Investor support: The fund provides investor support services, such as a dedicated website and a toll-free number for investors to call with questions.