To actively manage a portfolio of Australian money market and fixed interest securities (in a risk controlled manner) to generate a return over a full market cycle which exceeds that delivered by the Australian bank bill rate.
To actively manage a portfolio of Australian money market and fixed interest securities (in a risk controlled manner) to generate a return over a full market cycle which exceeds that delivered by the Australian bank bill rate.
| APIR code | PPL4961AU |
| Inception date | January 2007 |
| Benchmark | Bloomberg AusBond Bank Bill Index |
| Management fee | See IM for further details at antarescapital.com.au/resource-library |
| Performance fee | See IM for further details at antarescapital.com.au/resource-library |
| Buy/Sell spread | For the latest Buy/Sell spreads refer to mlcam.com.au/buy-sell-spreads |
| Minimum investment | $5M |
| Investment approach |
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| Risks | Risks specific to investments in fixed income instruments may include:
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