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Australian Corporate Bond Fund
Fund aim
The Fund invests predominantly in corporate bonds, higher-yielding fixed interest securities, structured deals (e.g leveraged leases), preference shares, asset backed securities and infrastructure debt within the Australian fixed interest market.
Investment objective
Our aim is to provide returns above traditional Australian fixed interest (via both income and some capital gains) over the medium-term, while accepting medium levels of volatility in returns. The investment objective is to provide investors with a total annual return (after costs and before tax) higher than the UBS Composite Bond Index on a rolling 12 months basis.
Benchmark
UBS Composite Bond Index
Inception date
19 November 1997
Recommended investment timeframe
Minimum 5 years
Risk Rating
Medium
Distributions
Quarterly and can be paid in cash or re-invested in the fund
Minimum investment
A$10 million
Buy/sell spread
Nil
Management expense ratio (MER)
0.358%
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Offer document (PDF - 425 Kb) |
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