The Fund is a global multi-asset strategy, with a return objective in excess of 8% p.a. over a time horizon beyond 5 years with equity-like volatility. The Fund is constructed using the team’s proprietary econometric forecasting of long-term asset class returns. The investment team overlays its tactical market views to manage downside risks and add value when the opportunity presents.
Diverse mix of asset classes across global geographies
Long term market beta, short term tactical considerations, market mis-pricing & portfolio hedging
The fund is actively managed to take advantage of long term market returns whilst utilising investment diversity and portfolio hedging to smooth investment outcomes
Fund is managed by a highly experienced team of 3 portfolio managers with an average of 16 years industry experience
The Fund can replace an existing allocation to alternative assets and hedge funds as part of a total investment solution. Unlike many alternative funds, it is liquid and transparent.
As the Fund is designed with a higher risk and return profile than some core portfolio holdings, it can be used as an investment satellite that compliments the lower risk core portfolio.
The Fund invests across major global assets classes and is actively managed. It can be a whole of wealth investment solution for wholesale investors wanting to achieve double digit returns with active risk management.
Source: Drummond Capital Partners, Interactive Brokers. *Performance from 1/2/21 to 31/7/21 is based upon a separate account managed under the same strategy and similar fee structure. The Drummond Dynamic Plus Fund (ABN 69109453831) commenced 1 August 2021 and performance from this date on is based upon fund returns not the separate account.
Past performance is not indicative of future performance. Performance reported is net of fees.
To invest in the Drummond Dynamic Plus Fund, wholesale investors can follow the following steps.
Investments can be made directly to the Fund Administrator (Apex Fund Services). To submit your online application, please complete the Online Application Form for new investments above. Identification documents will need to be provided as part of the online application process that will be submitted to the Fund Administrator.