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Fund Overview | The Fund may invest in securities expected to be listed on the ASX within 12 months. The Fund may also invest in securities listed, or expected to be listed, on other exchanged where such securities relate to ASX-listed securities |
Manager Comments | Over the past 12 months, the fund's volatility has been 14.9% compared with the index's volatility of 10.42%. Since inception the fund's volatility has been 32.15% vs the index's volatility of 16.01%. Since inception in the months when the market was positive the fund provided positive returns 84% of the time. It has an up-capture ratio of 309.01% since inception and 151.15 over the past 12 months. |
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