MF – EC – Fund overview
DNR Capital Australian Emerging Companies Fund
Fund overview
Issuer and responsible entity | The Trust Company (RE Services) Limited as part of the Perpetual Limited group of companies |
Investment manager | DNR Capital Pty Ltd |
Investment bias | Style neutral with a quality focus |
Designed for | Investors seeking a medium-to-longer term investment focused on achieving growth, with less focus on generating excess income. The investor is prepared to accept higher volatility in pursuit of higher growth. |
Investment objective | The Fund’s investment objective is to invest in a portfolio of Australian emerging companies that aims to outperform the Benchmark (net of fees) over a rolling five -year period. The investment objective is not a forecast of the Fund’s performance. |
Benchmark | S&P/ASX Small Ordinaries Accumulation Index |
Investments | Australian equities and cash |
Investment constraints | The Fund will not invest in derivatives. |
Investment guidelines | Maximum exposure to an individual security is 15% of Fund NAV. Minimum exposure of 60% of the Fund NAV to be invested in the S&P/ASX Small Ordinaries. |
Asset allocation | Australian equities – 80-100% Cash – 0-20% |
Number of securities held in the Fund | Min 20 – Max 45 |
Minimum suggested investment timeframe | 5 years |
Buy/sell spread | +0.30% / - 0.30% |
Management fee | 1.15% p.a. (inclusive of GST and RITC) |
Performance fee | 20% on outperformance of the Fund's benchmark |
Minimum investment amount | $20,000 |
Minimum additional investment amount | $5,000 |
Minimum withdrawal amount | $5,000 |
Valuation and unit pricing frequency | Each business day |
Application frequency | Each business day |
Withdrawal frequency | Each business day |
Distribution frequency | Semi-annual |
Distribution payment method | Direct deposit or reinvestment |