Mercer Multi-manager High Growth Fund - Wholesale Units
About this Fund
Fund Detail
PDS | https://informedinvestor.com.au/view/pds/101160-2024-04-10-02:33.pdf |
FUND MANAGER | Advance asset management |
ASX Code | |
APIR | BTA0246AU |
ASSET CLASS | MULTI-ASSET |
INVESTMENT STYLE | The Fund invests primarily in growth assets such as Australian and international shares with some exposure to property. |
INVESTMENT PROFILE | The Fund aims to provide high total returns (before fees and taxes) over the long term through capital growth. |
CURRENCY MANAGEMENT | Active management |
INCEPTION DATE | 27-11-2002 |
BENCHMARK | Strategic weight of the underlying sector benchmarks |
FUND SIZE | Strategic weight of the underlying sector benchmarks |
DISTRIBUTION FREQUENCY | Quarterly |
NO. OF HOLDINGS | |
FEES | 0.88% p.a. |
STRUCTURE |
Benefits
Benefits | The key benefits of the Fund are as follows.
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RISK LEVEL | 6 |
INVESTOR SUITABILITY | The Fund is intended to be suitable for investors seeking exposure to a diversified range of investments with both income producing and growth characteristics who have a high tolerance for risk.
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Risks
Title | |
Detail |
Key Features
About the FundAn actively managed fund
investing primarily in growth assets such as Australian and international
shares, with some exposure to property. Investment management of the FundWe provide investment opportunities across a range of asset classes, including shares, property, fixed interest and cash. Our investment team provides in-depth monitoring and analysis of the Fund and its investment managers. The Fund is built around long-term strategic asset allocations (SAAs) which are reviewed annually and as otherwise required to adapt to significant changes in market conditions. The team determines the asset allocation, and selects and blends investment managers with the potential to consistently deliver outperformance across the business cycle within an actively managed risk management framework. These investment managers are monitored regularly and as part of this review process an investment manager can be added or removed at any time and without prior notice. Details of any change will be available on bt.com.au/pdsupdates. |
Mandate
How we invest your moneyThe Fund invests primarily in growth assets such as Australian and international shares with some exposure to property. The Fund's exposure to these asset classes will be obtained primarily by investing directly into our sector specific funds. The Fund may also hold assets directly including derivatives, currency and other unit trusts. Strategic asset allocation (SAA) ranges
Total Growth Assets: 85-100% Total Defensive Assets: 0-15% |