Making Investors Money In All Market Conditions
Australian Standfirst has built a comprehensive series of Global Investment Funds, which have made investors money in all market conditions, are entirely managed in Australia and are issued in Australian Dollars.
Pioneering and fully implementing Responsible Investing Optimisation across all of our investments, we take the responsibility of managing our investors life savings seriously and have demonstrated this by delivering consistently strong returns, by continuously displaying resilience in down markets and by protecting investors capital as our enduring priority.
Our investments concentrate on exhibiting originality, cautious capital management and absolute independence, providing our clients focused returns through the most conservative ways possible here in Australia.
|Investment Strategy:||Global Ex-Australia Macro|
|Annualised Target Return:||8.00-12.00% per annum|
|Return Since Inception:||22.39% per annum (Q4 2021)|
|Management Costs:||1.00% (excluding GST/RITC) per annum of the Net Asset Value (NAV), 20.00% Performance Fee exclusive of net GST/RITC, when the Fund outperforms its Customised ESG Benchmark.|
|Buy/sell spread:||0.15% / 0.15% of NAV unit price|
|Investment Strategy:||Reflation Supercycle Alpha|
|Annualised Target Return:||40.00% per annum|
|Return Since Inception:||41.25% per annum (Q4 2021)|
|Management Costs:||0.50% (excluding GST/RITC) per annum of the Net Asset Value (NAV), 20.00% Performance Fee exclusive of net GST/RITC, when the Fund outperforms its Benchmark Hurdle Return.|
|Buy/sell spread:||0.50% / 0.50% of NAV unit price|
|APIR Code:||Not Applicable|