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CFS FC Inv-CFS Aus Share L/S-Core

Fund manager Colonial First State Investments Limited
APIR code FSF0098AU
S&P Rating starstarstar
Morningstar Rating™ QuestionMark starstarstar
Platform name CFS FirstChoice Investments
Product Disclosure Statement
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Fund Facts
Legal structure Investment Trusts
Fund inception date 19 May 2008
Fund objective To provide long-term capital growth with some income by investing predominantly in a broad selection of Australian companies, as well as taking short positions in order to invest more and expand investment returns.
Fund strategy The option will aim to have a net long exposure of 100%. It will also aim to short sell 30% of its net asset value and invest that amount in the long portfolio to around 130% of the net asset value. Upper limits have been placed on the option?s short exposure of 50% of the net asset value and on the long exposure of 150% of the net asset value. This option may use derivatives to obtain market exposure. This option predominantly invests in Australian companies and therefore does not hedge currency risk.
Fund size $0.80 million (as at 31 Dec 2011 )
Entry price $0.7934 (as at 08 Feb 2012)
Exit price $0.7887 (as at 08 Feb 2012)
Valuation frequency Daily
Cash distribution (cents/unit) 1.2000
Distribution as at date 18 Dec 2011
Fund Performance (as at 31/01/2012)
* returns greater than 1 year are annualised
1 month 3 months 1 year 3 yrs pa* 5 yrs pa* Since inception pa*
Total return 3.87% -0.26% -4.03% 9.91% N/A -4.13%
Growth return 3.87% -1.79% -6.24% 6.95% N/A -6.22%
Income return 0.00% 1.53% 2.33% 2.79% N/A 2.25%
Peer group rank/group size 303 (337) 184 (334) 31 (329) 162 (287) N/A N/A
Morningstar peer group return 4.89% -0.28% -6.84% 9.95% -2.11% N/A
Market return 5.08% 0.06% -6.17% 11.21% -1.70% 11.46%
Asset Allocation (as at 31/01/2012)
Class
% held
Australian Shares
97.05%
International Shares
0.00%
Cash
1.33%
Listed Property
1.62%
Direct Property
0.00%
Australian Fixed Interest
0.00%
International Fixed Interest
0.00%
Mortgage
0.00%
Other
0.00%
Total
100.00%
Top 10 Holdings
Holding
% held
No top 10 holdings information is available for this fund.
Investment Details
Initial investment $5000.00
Additional investment N/A
Redemption amount N/A
Regular savings plan Yes
Standard entry fee 4.00%
2020 entry fee 0.00%
Standard exit fee 0.00%
2020 exit fee 0.00%
ICR pa (30/06/2011) 2.00%
Performance fee N/A
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Fee Disclosure
2020 DIRECTINVEST may receive a trailing commission ranging from 0.2% - 0.6% pa. This trailing commission is paid by the fund manager and is NOT an additional charge to the investor.

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