MFG Core Infrastructure Fund (Managed Fund)
About this Fund
Fund Detail
PDS | https://informedinvestor.com.au/view/pds/104317-2023-03-25-02:32.pdf |
FUND MANAGER | Magellan Asset Management |
ASX Code | MSCI* |
APIR | |
ASSET CLASS | INFRASTRUCTURE |
INVESTMENT STYLE | The Fund will primarily invest in securities of infrastructure companies listed on stock exchanges around the world. |
INVESTMENT PROFILE | The Fund seeks to achieve attractive risk-adjusted returns over the medium to long term through investment in a diversified exposure to infrastructure securities as per the Investment Manager’s definition. |
CURRENCY MANAGEMENT | Hedged |
INCEPTION DATE | 17-12-2009 |
BENCHMARK | S&P Global Infrastructure Index A$ Hedged Net Total Return |
FUND SIZE | S&P Global Infrastructure Index A$ Hedged Net Total Return |
DISTRIBUTION FREQUENCY | Half-yearly |
NO. OF HOLDINGS | 70-100 |
FEES | 0.50% p.a. |
STRUCTURE |
Benefits
Benefits | Significant benefitsInvesting in the Fund offers investors a range of benefits, including:
Application has been made to the Securities Exchange Operator to admit units in the Fund to quotation on the Securities Exchange. Once admitted to quotation on the Securities Exchange, units in the Fund will be able to be traded on the Securities Exchange like any listed security. |
RISK LEVEL | High |
INVESTOR SUITABILITY | An investment in the Fund may suit investors who are seeking a medium to long-term investment exposure to international equities. |
Risks
Title | |
Detail |
Key Features
Significant featuresThe Fund’s investment universe is any entity listed on a global stock exchange whose primary business is the ownership and operation of infrastructure assets. The Fund’s primary investment objective is to achieve attractive risk-adjusted returns over the medium to long term through investment in a diversified portfolio of high quality companies that meets the Investment Manager’s definition of infrastructure. The Investment Manager will invest in companies that generate the dominant part of their earnings from the ownership of infrastructure assets. The Fund will comprise 70-100 investments. The weighting of securities in the Fund will be primarily determined on the basis of market capitalisation adjusted for the number of shares readily available in the market, except where the Investment Manager believes an alternate basis is appropriate. However, a number of constraints will be applied to ensure that the Fund is diversified by security, infrastructure sector and geography. The intention of the Investment Manager is that the foreign currency exposure of the Fund will be hedged. The Fund will be rebalanced on a monthly basis, or on such other basis determined by the Investment Manager. |
Mandate
How we invest your moneyThe Fund’s assets are typically invested within the following asset allocation ranges: (Asset Class: Investment Range)
The Fund’s investment universe is any entity listed on a global stock exchange whose primary business is the ownership and operation of infrastructure assets. The Fund’s primary investment objective is to achieve attractive risk-adjusted returns over the medium to long term through investment in a diversified portfolio of high quality companies that meets the Investment Manager’s definition of infrastructure. The Investment Manager will invest in companies that generate the dominant part of their earnings from the ownership of infrastructure assets. The Fund will comprise 70-100 investments. The weighting of securities in the Fund will be primarily determined on the basis of market capitalisation adjusted for the number of shares readily available in the market, except where the Investment Manager believes an alternate basis is appropriate. However, a number of constraints will be applied to ensure that the Fund is diversified by security, infrastructure sector and geography. The intention of the Investment Manager is that the foreign currency exposure of the Fund will be hedged. The Fund will be rebalanced on a monthly basis, or on such other basis determined by the Investment Manager. The Fund can use foreign exchange contracts to facilitate settlement of stock purchases and to mitigate currency risk on specific investments within the portfolio. |