asset_category:
peer_benchmark:
broad_market_index:
manager_contact_details: Array
ticker: SIA0001AU
release_schedule: NO COMMENTARY
structure: Managed Fund
fund_features:
SPW Global Income aims to out-perform the Bloomberg AusBond Bank Bill Index plus 2.5% p.a. over rolling 2-5 year periods through investing in a portfolio of debt securities and derivatives. The Manager will invest within the global and domestic debt markets. These investments may include but are not restricted to debt instruments such as government treasury bonds, corporate bonds, bank bills, commercial paper, bank loans, mortgage backed securities, asset backed securities, mortgages, secured corporate loans, discounted bills, repurchase agreements and debt/equity hybrid securities, forward foreign exchange agreements, etc. The Fund follows a unique investment strategy known as the Supervised Theory of Absolute Return STAR. At any time, the Fund may be concentrated in one or a small number.The Supervised High Yield Fund will invest only within the debt markets and only after identifying opportunities using the Supervised Theory of Absolute Return STAR.