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Macquarie Australian Diversified Income Fund (0P00007BE5)

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1.048 0.000    0%
01/11 - Delayed Data. Currency in AUD
Type:  Fund
Market:  Australia
Issuer:  Macquarie Bank Group
ISIN:  AU60MAQ02046 
Asset Class:  Bond
  • Morningstar Rating:
  • Total Assets: 180.88M
Macquarie Australian Diversified Income A Fund 1.048 0.000 0%

Macquarie Australian Diversified Income Fund Overview

 
On this page you'll find an in-depth profile of Macquarie Australian Diversified Income Fund. Learn about the key management, total assets, investment strategy and contact information of 0P00007BE5 among other information.
Category

Australian Short Term Fixed Interest

Total Assets

180.88M

Expenses

Inception Date

Nov 21, 2000

Investment Strategy

The Fund provides exposure to a range of highly-rated Australian and international credit-based securities (primarily Australian issued bank, corporate and asset backed securities) and cash. The Fund seeks to outperform traditional cash investments by gaining exposure to carefully selected corporate and structured securities which we believe offer the best relative value and outlook.

Contact Information

Address No.1 Martin Place
Sydney,NSW 2000
Australia
Phone +61 2 8245 4900

Top Executives

Name Title Since Until
David Hanna Portfolio Manager, Head of Equity Portfolio Management 2006 Now
Biography Mr. Hanna is Head of Equity Portfolio Management at Knights of Columbus Asset Advisors. Mr. Hanna oversees the firm’s equity strategies and investment process. He serves as lead portfolio manager for the international equity strategy, co‒manages the global strategy, and was a founding team member of the international product launch in 2008. Mr. Hanna has specific expertise in the areas of international investing and risk management. Mr. Hanna has more than 35 years of industry‒related experience. Prior to joining the firm in 2007, he was a senior portfolio manager in the Global Hedge Fund Strategies Group at State Street Global Advisors (SSgA), where he managed US and European equity portfolios and traveled globally to support some of the world’s largest, most sophisticated institutions. He was with SSgA from 1997 to 2005, working in both the Boston and London offices. Prior to SSgA, he was Vice President, Quantitative Analysis, at Standish, Ayer & Wood from 1992-1997. Prior to that, he worked in proprietary trading, small cap portfolio management, and portfolio insurance. Mr. Hanna earned a BS degree in Finance from Pennsylvania State University in 1987 and completed an honors degree with a thesis on derivatives hedging entitled, "Portfolio Insurance ‒ A Simulation Using Binomial Option Pricing Theory." He also attended the Institut Universitaire de Technologie in Nice, France, focusing on European business. He is a graduate of Gordon Conwell Theological Seminary, earning an MA with coursework focused on faith‒based economic development and social justice.
Renaye Skidmore - 2003 Now
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