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Pendal Concentrated Global Share Fund

About this Fund

Fund Detail

PDS https://informedinvestor.com.au/view/pds/101175-2023-10-31-02:37.pdf
FUND MANAGER Pendal Institutional
ASX Code
APIR BTA0503AU
ASSET CLASS GLOBAL EQUITIES
INVESTMENT STYLE

The Fund is designed for investors who want the potential for long term capital growth from a concentrated portfolio of global shares, diversified across a broad range of global sharemarkets and are prepared to accept higher variability of returns.

INVESTMENT PROFILE

The Fund aims to provide a return (before fees, costs and taxes) that exceeds the MSCI World ex Australia (Standard) Index (Net Dividends) in AUD over the medium to long term

CURRENCY MANAGEMENT Active management
INCEPTION DATE 29-07-2016
BENCHMARK MSCI World ex Australia (Standard) Index (Net Dividends) in AUD
FUND SIZE MSCI World ex Australia (Standard) Index (Net Dividends) in AUD
DISTRIBUTION FREQUENCY Yearly
NO. OF HOLDINGS 35-55
FEES 0.90% p.a.
STRUCTURE

Benefits

Benefits

Benefits of investing in the Pendal Concentrated Global Share Fund

Investing in the Fund offers investors a range of benefits:

  • access to a professionally managed portfolio of global shares and the potential for long term capital growth;
  • access to Pendal's investment expertise and contrarian approach to global share investments;
  • concentrated exposure to global sharemarkets;
  • regular investment statements and an annual tax statement to keep you up-to-date on your investment;
  • ability to keep track of your investments in the secure client area by visiting the login section at www.pendalgroup.com.

Risk level

High

Investor suitability

The Fund is designed for investors who want the potential for long term capital growth from a concentrated portfolio of global shares, diversified across a broad range of global sharemarkets and are prepared to accept higher variability of returns.

RISK LEVEL High
INVESTOR SUITABILITY

Risks

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Detail

Key Features

About the Fund

The Pendal Concentrated Global Share Fund (Fund) is an actively managed concentrated portfolio of global shares diversified across a broad range of global sharemarkets. The Fund is managed by Pendal's Global Equities team and typically holds between 35-55 stocks that we believe are undervalued in the near term and offer long term capital growth.

The Fund invests in global companies that offer attractive investment opportunities predominately in markets such as the USA, UK, Continental Europe, Asia and Japan. The Fund may also hold cash and use derivatives.

Mandate

How we invest your money

Pendal's investment process for global shares aims to add value through active stock selection and fundamental company research. Pendal focuses on identifying a company's long term value and potential risk reward opportunity and is benchmark agnostic. Our high conviction, contrarian approach to the Fund's investments seeks to invest in companies that are considered to be undervalued in the near term and offer long term capital growth.

The Fund has assets that are denominated in foreign currencies. This means that changes to the Australian dollar relative to foreign currencies may affect the value of the assets of the Fund. Generally, these currency exposures will not be hedged to the Australian dollar but Pendal may do so from time to time.

Derivatives may be used to reduce risk and can act as a hedge against adverse movements in a particular market and/or in the underlying assets. Derivatives may also be used to gain exposure to assets and markets.