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Mutual High Yield Fund

Investment Objective

Mutual's objective is to source and actively manage a portfolio of fixed interest credit assets with a core focus on structured credit.

Investment Strategy

Targeted portfolio construction is to hold assets with a shorter credit duration to limit capital movements during periods of market volatility

Fund Information

APIR PRM8798AU

Inception Date

Benchmark

Style

February 2019

AusBond Bank Bills

Bank Bills plus 4.50%

Enhanced Credit

Distributions

Quarterly

Performance Target

$20,000

Risk Profile

Medium

ADI Senior FRN's, ADI Tier 2 FRN's, ABS/RMBS Corporate 

Minimum Investment

1.0260% p.a.

Asset Profile

3

Management Fees

2

Buy/Sell Spreads

Interest Rate Duration

Liquidity

Credit Duration Cap

0.25% sell spread

Low

Daily

5.00 Years

Rating

Lonsec Recommended

Zenith Approved

1 After Fees, per annum. Bank Bill measured by the Bank Bill Swap Rate.

2 Including GST and net of Reduced Input Tax Credits

3 ADI (Authorised Deposit-Taking Institutions); FRN (Floating Rate Note); ABS (Asset-backed Security); and RMBS (Residential Mortgage-backed Security)

Performance

3 Mths

6 Mths

12 Mths

3 Yrs (p.a.)

5 Yrs (p.a.)

Since Inception (p.a.)

Mutual High Yield Fund 

Bloomberg AusBond Bank Bill Index

Relative Performance 

Unit Prices

Net Asset Value

PRM8798AU

Mutual High Yield Fund

The Net Asset Value does not include a sell spread of 0.25% on redemptions that is calculated at withdrawal. Refer page 5 of the PDS. 

Distributions

APIR

PRM8798AU

Mutual High Yield Fund

Platform Availability

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