APIR code | FRT0028AU |
Status | Open |
Asset class | Unconstrained Fixed Income |
Responsible Entity | Franklin Templeton Australia Limited |
Fund Manager | Franklin Templeton Australia Limited |
Investment Structure | Open end |
Fund inception | 22 Dec 2014 |
Fund size | $1,050,261,885 |
Entry / exit price (2024-11-30) | $0.9977 / $0.9977 |
Minimum initial | $500000 |
Distribution frequency | Monthly |
The investment objective of the Fund is to provide investors with access to an actively managed portfolio of fixed income strategies with an aim to deliver returns in excess of the Bloomberg AusBond Bank Bill Index, after fees and expenses (but before taxes), over the short to medium term.
An actively managed absolute return fixed income portfolio designed to deliver attractive returns through the interest rate and credit cycles while protecting against capital volatility through strong risk management. It seeks to achieve its investment objective by primarily investing in Australian and non-Australian dollar-denominated fixed income instruments and debt obligations of government, government related issuers and corporations worldwide.
Management Fee % PA | 0.40% |
TCR % PA | 0.40% |
Entry / Exit % | - / - |
Buy / Sell Spread % | 0.00 / 0.00 |