Arrowstreet Global Equity Fund

Macquarie Professional Series

> Apply now

Features and benefits

The Arrowstreet Global Equity Fund invests in international shares with an emphasis on developed and emerging markets to diversify your portfolio. The Fund holds a portfolio of 125 to 300 global stocks and offers:

  • Exposure to a broad universe of stocks that includes developed and emerging markets, as well as large and small company stocks
  • An active, quantitative process that aims to add value through varying market conditions
  • Tactical (temporary), rather than systematic (constant), tilts away from the benchmark (eg favouring value stocks over growth stocks, or large companies over small companies).
  • The investment strategy of the Arrowstreet Global Equity Fund may suit investors looking for long term growth, seeking to invest for seven years or longer. The minimum application for the Arrowstreet Global Equity Fund is $20,000.

About Arrowstreet

Arrowstreet Capital L.P. (Arrowstreet) are a global equity manager based in Boston, Massachusetts. They were formed in July 1999 and are registered with the Securities and Exchange Commission of the U.S. Arrowstreet is structured as a limited partnership that is wholly owned and controlled by its senior professionals. As at 31 December 2011, they managed over $US34 billion in assets for its clients globally, which include pension funds, foundations and corporations.

Arrowstreet’s investment process uses forecasting models that combine the experience and judgement of Arrowstreet’s investment team with quantitative analysis to forecast individual stock returns. Stock forecasts are based upon a diverse set of predictive factors that can be categorised as value, momentum, earnings, high frequency and currency signals.

  • Value signals allow the strategy to identify stocks that are either undervalued or overvalued relative to fundamentals.
  • Momentum signals allow the strategy to identify stocks that are expected to outperform based on the slow reflection of information in security prices and the speculative behaviour of investors.
  • Earnings signals help the strategy identify future profits and changes in market sentiment.
  • High frequency signals, such as price patterns, help identify short-term opportunities and are useful in timing longer term trades driven by value, momentum or earnings considerations.
  • Currency signals help improve the currency exposure in a given portfolio.

In constructing the final portfolio, Arrowstreet uses an optimisation process to balance the trade-off between a stock’s expected return, its contribution to portfolio risk, and its trading costs.

More information

Fund Name Arrowstreet Global Equity Fund
Investment manager Arrowstreet Capital, L.P., Boston, Mass.
Investment objective To seek to achieve a long-term (at least 7 years) total return before fees and expenses that exceeds the MSCI All Country World Index ex Australia, in A$ unhedged with net dividends re-invested
Investment approach Active, quantitative investment approach that seeks to capitalise on opportunities across a broad universe of stocks
Asset allocation International shares: 95% to 100%
Cash: 0% to 5%
Minimum investment $20,000
Distributions Paid semi annually (June and December). If any
Applications Daily
Withdrawals Daily
Entry Fee Nil
Exit Fee Nil
Inception date 18 December 2006
Benchmark MSCI All Country World Index ex Australia, in A$ unhedged with net dividends re-invested
Number of stocks Generally 125-300
Buy/sell spread +0.25%/-0.22%
Management fees 1.28% p.a. (inclusive of GST)
Arrowstreet Global Equity Fund

Macquarie Professional Series

> Apply now

Contact us

Service

1800 806 310

or
Speak to your
financial adviser

Sales

1800 245 555

 

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