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Antares is a dedicated asset management business managing more than $35bn on behalf of Australian investors, with $6.6bn in Australian equities (as at 30 June 2018). Established in 1994, our equities team have spent the last two decades refining their research and investment process with the primary focus of delivering superior results for our investors. At Antares we value performance and building long-term shared success with our clients.

Antares' investment style reflects our commitment to bottom-up, systematic research. Our holistic valuation approach is based on extensive company research involving financial and ESG analysis. We then seek to exploit the mispricing opportunities that our research has identified. We believe that adherence to our approach may lead to consistent outperformance of the benchmark over the medium to long term in all but extreme market conditions.

Our Australian equities portfolios have no intended size, style or sector biases and we have a strong track record of being able to customise our strategies to meet particular desires of our institutional clients.

Investment solutions

Fund name Benchmark Inception date
Australian equities - Concentrated S&P/ASX 200 Accumulation Index 18 November 2002
Australian equities - Dividend Builder S&P/ASX 200 Industrials Accumulation Index 6 September 2005
Australian equities - Core S&P/ASX 200 Accumulation Index 3 July 1995
Australian equities - Long/Short S&P/ASX 200 Accumulation Index 7 December 1999
Australian equities - Listed Property S&P/ASX 200 A-REIT Accumulation Index 28 February 1994
Australian equities - Large Companies S&P/ASX 50 Accumulation Index 28 June 2013