The Fund invests in an actively managed, diversified portfolio of Australian bonds and aims to provide an after-fee return above the Bloomberg AusBond Composite Index over rolling three-year periods.
Aims to provide efficient acc ess to an actively managed and broadly diversified portfolio of high quality Australian fixed income securities.
Invests across the full fixed income spectrum to maximise investment opportunities available
Employs a strong risk management and quality focus – aiming to invest in only quality issues and manage interest rate risk.
Investors benefit from a disciplined portfolio construction approach by an experienced and award winning investment manager – Western Asset.