K2 Asset Management - consistent investment returns
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COMPANY PROFILE

 

K2 Asset Management Ltd is an Australian-based fund manager specialising in absolute return for retail, wholesale and institutional investors. Established in July 1999 by Mark Newman and Campbell Neal, K2 is wholly owned by K2 Asset Management Holdings Ltd.

K2 Asset Management Holdings Ltd is a publically listed company on the Australian Securities Exchange and is majority owned by K2 directors and staff.

With a proven track record and a performance orientated culture, K2’s absolute return strategies seek consistent positive returns for investors in all market conditions.

K2 offers three unique strategies for Australian and International investors:

  1. Asia Pacific excluding Japan Long/Short;
     
  2. Australia and New Zealand Long/Short;
     
  3. Select International Long/Short
     

Since inception K2 Funds have consistently beaten their performance objectives (15% p.a. for all strategies). K2’s funds have a high investment rating and the company has won several awards for its long/short funds.

K2 Asset Management holds an Australian Financial Services Licence (No. 244393).

 

NEWS & MEDIA

K2: Australian Market Outlook - David Poppenbeek May 2010
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PRICE & PERFORMANCE
Daily Prices & Monthly Performance
Monthly Reports
K2 Australian ARF

S&P rates this fund five stars, reflecting our very high conviction that the manager will consistently generate risk-adjusted returns in excess of both its relevant investment objectives and its peers.
— Standard & Poor’s Australian Equities review, August 19, 2010.

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