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Investment Funds K2 Australian Absolute Return Fund - SummaryInvestment objectiveThe K2 Australian Absolute Return Fund aims to preserve capital over the medium term and generate 15% per annum returns after fees over a three to five year investment cycle. Investment universeThe Fund invests in listed companies in Australia and New Zealand. Investment processThe investment team does not use a single approach to stock picking, rather, each investment manager brings their own investment style and methodology to the portfolio. Key variables of earnings, valuation and management are examined to determine whether securities are over or undervalued. The investment team’s ability to pick major investment themes, or ‘catalysts’, in a timely manner is a key competitive advantage. The stock selection process is based on the investment manager’s own primary research, direct contact with companies and subscriptions to independent research houses. Inception Date1st October 1999 Features
Fees
Income distributionThe fund distributes income annually at 30 June Notice timesFor applications, by 4.00pm (AEST) on the relevant Dealing Day. For withdrawals, a minimum of 30 days’ notice prior to the relevant Dealing Day. Dealing Day and Valuation DayLast business day of each month Investment Manager & Responsible EntityK2 Asset Management Ltd Prime Broker/CustodianMorgan Stanley & Co. International Limited AdministratorState Street Australia Ltd Product Disclosure StatementPlease ensure you read the Product Disclosure Statement for complete information on the K2 Australian Absolute Return Fund. Financial StatementClick here to view the 2008 Financial Statement for the K2 Australian Fund. Click here to view the Interim 2007 Financial Statement for the K2 Australian Fund. Click here to view the 2007 Financial Statement for the K2 Australian Fund. |
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