Longreach HQI – Global Market Neutral Fund

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Application Price

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At this time the Fund has not commenced trading. For further information please contact Ironbark Client Services on client.services@ironbarkam.com or 1800 034 402. 

The strategy seeks to deliver risk adjusted returns, irrespective of market conditions, with target volatility of 6% to 8% p.a. and low correlation to traditional assets. The fund will utilise a global equity market neutral strategy through implementing a differentiated, global quantitative process which invests in listed global equities.


Why Invest?
  • Investment team is deeply experienced, recognised and proven in providing global quantitative alpha solutions.
  • The strategy is designed to deliver consistent risk adjusted returns, irrespective of market conditions, with a target volatility of 6% to 8% p.a.
  • Provides investors a diversified alternative exposure delivered through a unique set of predictive factors and advanced machine learning techniques.
  • Low correlation to traditional asset classes making the fund an attractive portfolio diversifier.

Fund Information

Asset Class

Alternatives

Responsible Entity

Ironbark Asset Management (Fund services) Ltd

ARSN

631 270 276

Benchmark

RBA Cash Rate

Suggested Investment Period

Minimum 3 Years