NEWS
10 Dec 2020 - Manager Insights | DS Capital
Damen Purcell, COO of Australian Fund Monitors, speaks with Rodney Brott, CEO & Executive Director of DS Capital. DS Capital is a Melbourne based boutique investment manager. Their fund, the DS Capital Growth Fund was started in early in 2013 and aims to deliver an average return of at least 10% per annum through the economic cycle with a focus on preserving capital. As at the end of November 2020, the DS Capital Growth Fund had returned +15.64% p.a. with an annualised volatility of 11.47% since inception in January 2013. By contrast, the ASX200 Accumulation Index had returned +8.82% p.a. with an annualised volatility of 14.10% over the same period. The Fund's capacity to protect investors' capital in falling markets is highlighted by its Sortino ratio of 1.75 vs the Index's 0.66 and down-capture ratio of 45%. Listen to this interview as a podcast |
27 Nov 2020 - Manager Insights | Laureola Advisors
Damen Purcell, COO of Australian Fund Monitors, speaks with Alex Lee who heads up Investor Relations (Australia & New Zealand) at Laureola Advisors. The Laureola Investment Fund invests in Life Settlements and looks to provide investors with stable, non-correlated returns while generating cash flow from investments that allow the Fund to be used as a Fixed Income Alternative as well as a portfolio diversifier. The Fund has returned +16.59% p.a. since inception in May 2013 with a maximum drawdown of -4.90%. Listen to this interview as a podcast
|
26 Nov 2020 - Manager Insights | Aitken Investment Management
Damen Purcell, COO of Australian Fund Monitors, speaks with Charlie Aitken, CEO & Portfolio Manager at Aitken Investment Management. The AIM Global High Conviction Fund was started in 2015 and in 2019 was restructured from a currency hedged global long/short fund to an unhedged global long-only equity fund. Since the Fund's change of mandate, it has returned +11.25% p.a., outperforming the global equity index by over 5.5% on an annualised basis. Listen to this interview as a podcast
|
20 Nov 2020 - Manager Insights | Cyan C3G Fund
Damen Purcell, COO at Australian Fund Monitors, speaks with Dean Fergie, Portfolio Manager at Cyan Investment Management. The Cyan C3G fund is a concentrated portfolio that invests in Australian shares outside the ASX top 100. Established in 2014 the fund has outperformed the ASX 200 accumulation index to the end of October by 9.45% per annum since inception. Listen to this interview as a podcast
|
13 Nov 2020 - Manager Insights | Montgomery Small Companies Fund
Damen Purcell, COO of Australian Fund Monitors, speaks with Gary Rollo, Portfolio Manager at Montgomery, about the Montgomery Small Companies Fund. Montgomery are a well known firm in the Australian funds management market and the fund recently celebrated its 1 year anniversary after being started in September 2019. In its first year, the fund has returned 15.6% for the 12 months to the end of September outperforming the Small Ordinaries Index by 19% and the ASX200 Total return index by over 25%. Listen to this interview as a podcast
|
9 Nov 2020 - Manager Insights | Prime Value
Damen Purcell, COO of Australian Fund Monitors, speaks with Richard Ivers, Portfolio Manager at Prime Value, about the Prime Value Emerging Opportunities Fund. The Fund has risen +19.06% over the 12 months to the end of September 2020, outperforming the ASX200 Accumulation Index by +29.27%. Since inception in October 2015, the Fund has returned +13.02% p.a. vs the Index's annualised return over the same period of +7.31%. The Fund's capacity to significantly outperform when the market falls is highlighted by its down-capture ratio (since inception) of 45.7%. Listen to this interview as a podcast
|
29 Oct 2020 - Webinar: Fund Manager Roundtable on the US Election
The US election is currently front and centre in the media - as it should be given that the outcome will shape the world for the next four years and beyond. Much of the focus is on the incumbents themselves, and much on the political ramifications of either a Trump or Biden victory, or even the possibility of no clear outcome at all. But what of the market outcome, both in the US, Australia, Asia or the world as a whole? This is a recording of a webinar hosted by Australian Fund Monitors on the 28th of October 2020. We speak with Rodney Brott from DS Capital, Rob Swift from Delft Partners and Chris Wheldon from Magellan Asset Management to get their perspectives on the market outlook post the US election and how they expect either outcome to influence their investment decisions. Listen to this webinar as a podast
|
26 Oct 2020 - Manager Insights | Datt Capital
Damen Purcell, COO of Australian Fund Monitors, speaks with Emanuel Datt, the Founder and Principal of Datt Capital. Emanuel discusses the performance of the Datt Capital Absolute Return Fund with a particular focus on the fund's ability to protect capital. Emanuel also provides insight into how Datt Capital are positioning the portfolio in order to navigate an increasingly uncertain future. The Fund has returned +36.17% against the ASX200 Accumulation Index's -10.21% over the past 12 months. Since inception in August 2018, the Fund has returned +21.30% p.a. against the Index's annualised return of +0.52%. These returns have been achieved with a similar level of volatility to the market. Listen to this interview as a podcast
|
15 Oct 2020 - Should Your Portfolio Have Exposure to the Aussie E-Commerce Theme?
|
In this video insight Roger Montgomery discusses the exciting global megatrend of e-commerce. In the seven years between 2014 and 2020, worldwide retail e-commerce sales have grown from US$1.3 trillion to US$6.5 trillion. While much of the focus is on the leading giants; Amazon, eBay, and Alibaba, there are numerous small Australian companies generating serious returns for investors from e-commerce. City Chic Collective is an exciting global e-tailer with a structural component to its growth runway. |
21 Sep 2020 - Manager Insights | Airlie Funds Management
Chris Gosselin, CEO of Australian Fund Monitors, speaks with Matt Williams, Portfolio Manager of the Airlie Australian Share Fund, about how the fund invests and how it has performed so far throughout 2020. Matt discusses how COVID-19 has impacted the fund and also provides his outlook for the fund and economy going forward. The Fund has returned +4.43% against the ASX200 Accumulation Index's -5.08% over the past 12 months. Since inception in June 2018, the Fund has returned +6.44% p.a. against the Index's annualised return over the same period of +4.29%. These returns have been achieved with a similar level of volatility to the market. Listen to this interview as a podcast
|