The aim of the Fund is to actively manage a liquid portfolio of Australian money market and short maturity fixed income securities to generate a regular income stream and preserve capital.
The aim of the Fund is to actively manage a liquid portfolio of Australian money market and short maturity fixed income securities to generate a regular income stream and preserve capital.
| APIR code | PPL0281AU |
| Inception date | June 2014 |
| Benchmark | Bloomberg AusBond Bank Bill Index |
| Management fee | The Management Fee is 0.22% p.a. of the Fund's net asset value before fee. See IM for further details. |
| Performance fee | Nil |
| Buy/Sell spread | Nil |
| Minimum investment | $5M |
| Minimum additional investment | Quarterly |
| Investment approach |
To implement the investment strategy above, the Fund can invest in securities directly, or through funds managed by Antares consistent with the investment objective and approach. |
| Risks | Risks specific to investments in fixed income instruments may include:
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| Portfolio Manager |
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