Performance & prices

Our funds are designed to support long-term investing, always looking to help our investors achieve their financial goals.

Globally, we have more than AUD12.8 billion in assets under management (as at 29 February 2020), which continues to grow as our asset managers strive for outperformance.

Please select the relevant fund name from the menu below to access performance and unit prices.

4D Global Infrastructure Fund

Performance summary

As at 29 February 2020

 
Fund
Benchmark*
Value add

1 mnth

3 mnths

6 mnths

1 yr

3 yrs (pa)

5 yrs (pa)

Since inception**

-2.94%

3.38%

6.66%

19.43%

16.89%

-

14.31%

0.37%

1.45%

3.07%

7.10%

7.35%

-

7.24%

-3.31%

1.94%

3.59%

12.33%

9.54%

-

7.08%

Performance figures are net of fees and expenses.
*Benchmark is the OECD G7 Inflation Index + 5.5%.
**Inception date is 07/03/2016. Since inception figures are calculated on a p.a. basis.

 Past fund performance is not indicative of future performance.

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29 February 2020

31 January 2020

31 December 2019

Performance history

Prices

Application 1.3159
Redemption 1.3081
Effective date 2 April 2020
 

Unit price history

4D Emerging Markets Infrastructure Fund

Performance summary

As at 29 February 2020

 
Fund
Benchmark*
Value add

1 mnth

3 mnths

6 mnths

1 yr

3 yrs (pa)

5 yrs (pa)

Since inception**

-2.02%

2.47%

5.12%

12.05%

-

-

8.93%

0.81%

3.02%

5.60%

11.83%

-

-

11.42%

-2.83%

-0.55%

-0.48%

0.22%

-

-

-2.49%

Performance figures are net of fees and expenses.
*Benchmark is the OECD G20 Inflation Index + 8%.
**Inception date is 16/08/2017. Since inception figures are calculated on a p.a. basis.

Past fund performance is not indicative of future performance.


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29 February 2020

31 January 2020

31 December 2019

Performance history

Prices

Application 0.9207
Redemption 0.9152
Effective date 2 April 2020
 

Unit price history

Bennelong Australian Equities Fund

Performance summary

As at 29 February 2020

 
Fund
Benchmark*
Value add

1 mnth

3 mnths

1 yr

3 yrs (pa)

5 yrs (pa)

10 yrs (pa)

Since inception**

-5.94%

-2.95%

16.05%

14.27%

10.09%

11.20%

13.54%

-7.76%

-5.22%

8.75%

8.61%

6.23%

7.87%

10.27%

1.83%

2.26%

7.30%

5.66%

3.86%

3.33%

3.27%

Performance figures are net of fees and expenses.
*Benchmark is the S&P/ASX 300 Accumulation Index.
**Inception date is 30/01/2009. Since inception figures are calculated on a p.a. basis.

 Past fund performance is not indicative of future performance.

Download reports

If you’d like to receive the monthly reports directly into your inbox, please email us your request.

 

29 February 2020

31 January 2020

31 December 2019 (quarterly report)

Performance history

Prices

Application 1.9573
Redemption 1.9475
Effective date 3 April 2020
 

Unit price history

Bennelong Twenty20 Australian Equities Fund

Performance summary

As at 29 February 2020

 
Fund
Benchmark*
Value add

1 mnth

3 mnths

6 mnths

1 yr

3 yrs (pa)

5 yrs (pa)

Since inception**

-5.92%

-3.13%

4.01%

15.45%

10.77%

-

10.20%

-7.76%

-5.22%

-0.71%

8.75%

8.61%

-

9.39%

1.85%

2.09%

4.73%

6.70%

2.16%

-

0.81%

Performance figures are net of fees and expenses.
*Benchmark is the S&P/ASX 300 Accumulation Index.
**Inception date is 02/12/2015. Since inception figures are calculated on a p.a. basis.

 Past fund performance is not indicative of future performance.

Download reports

If you’d like to receive the monthly reports directly into your inbox, please email us your request.

 

29 February 2020

31 January 2020

31 December 2019 (quarterly report)

Performance history

Prices

Application 1.075
Redemption 1.0707
Effective date 3 April 2020
 

Unit price history

Bennelong Concentrated Australian Equities Fund

Performance summary

As at 29 February 2020

 
Fund
Benchmark*
Value add

1 mnth

3 mnths

1 yr

3 yrs (pa)

5 yrs (pa)

10 yrs (pa)

Since inception**

-5.87%

-2.94%

18.67%

13.30%

12.95%

14.07%

16.33%

-7.76%

-5.22%

8.75%

8.61%

6.23%

7.87%

10.27%

1.90%

2.27%

9.93%

4.69%

6.73%

6.20%

6.06%

Performance figures are net of fees and expenses.
*Benchmark is the S&P/ASX 300 Accumulation Index.
**Inception date is 30/01/2009. Since inception figures are calculated on a p.a. basis.

 Past fund performance is not indicative of future performance.

Download reports

If you’d like to receive the monthly reports directly into your inbox, please email us your request.

 

29 February 2020

31 January 2020

31 December 2019 (quarterly report)

Performance history

Prices

Application 1.8627
Redemption 1.8534
Effective date 3 April 2020
 

Unit price history

Bennelong ex-20 Australian Equities Fund

Performance summary

As at 29 February 2020

 
Fund
Benchmark*
Value add

1 mnth

3 mnths

1 yr

3 yrs (pa)

5 yrs (pa)

10 yrs (pa)

Since inception**

-5.24%

-1.98%

17.12%

11.78%

11.10%

12.39%

12.36%

-9.68%

-8.21%

7.48%

9.62%

9.11%

8.23%

7.96%

4.44%

6.23%

9.64%

2.16%

2.00%

4.16%

4.40%

Performance figures are net of fees and expenses.
*Benchmark is the S&P/ASX 300 Accumulation Index excluding S&P/ASX 20 Leaders Index.
**Inception date is 02/11/2009. Since inception figures are calculated on a p.a. basis.

 Past fund performance is not indicative of future performance.

Download reports

If you’d like to receive the monthly reports directly into your inbox, please email us your request.

 

29 February 2020

31 January 2020

31 December 2019 (quarterly report)

Performance history

Prices

Application 1.9813
Redemption 1.9714
Effective date 3 April 2020
 

Unit price history

Bennelong Emerging Companies Fund

Performance summary

As at 29 February 2020

 
Fund
Benchmark*
Value add

1 mnth

3 mnths

6 mnths

1 yr

3 yrs (pa)

5 yrs (pa)

Since inception**

-11.30%

-12.20%

1.94%

42.26%

-

-

27.27%

0.46%

1.44%

2.93%

6.24%

-

-

6.50%

-11.76%

-13.65%

-0.98%

36.02%

-

-

20.78%

Performance figures are net of fees and expenses.
*Benchmark is the official RBA Cash Rate +5%.
**Inception date is 01/11/2017. Since inception figures are calculated on a p.a. basis.

 Past fund performance is not indicative of future performance.

Download reports

If you’d like to receive the monthly reports directly into your inbox, please email us your request.

 

29 February 2020

31 January 2020

31 December 2019 (quarterly report)

Performance history

Prices

Application 1.1346
Redemption 1.129
Effective date 3 April 2020
 

Unit price history

Bennelong Market Neutral Fund

Performance summary

  Email Client Services to obtain current performance.

Prices

Application -
Redemption -
Effective date Not applicable

Bennelong Long Short Equity Fund

Performance summary

  Email Client Services to obtain current performance.

Prices

Application -
Redemption -
Effective date Not applicable

Bennelong Kardinia Absolute Return Fund

Performance summary

As at 29 February 2020

 
Fund
RBA Cash Rate + 2% (Performance Fee Hurdle)*

1 mnth

3 mnths

1 yr

3 yrs (pa)

5 yrs (pa)

10 yrs (pa)

Since inception**

-0.86%

1.53%

5.96%

1.75%

1.80%

6.06%

8.98%

0.22%

0.68%

1.55%

1.53%

1.66%

2.63%

3.44%

Performance figures are net of fees and expenses.
*The Performance Fee Hurdle is the RBA cash rate plus 2%. Prior to 2 December 2019 it was the RBA cash rate.
**The Bennelong Kardinia Absolute Return Fund was launched on 1 May 2006 by another trustee, and the above performance data relates to this strategy. Bennelong assumed responsibility as replacement trustee on 16 August 2011 – for performance history relating to this date, please contact Client Services on 1800 895 388 (AU) or 0800 442 304 (NZ) or client.services@bennelongfunds.com. Since inception figures are calculated on a p.a. basis.

 Past fund performance is not indicative of future performance.

Download reports

If you’d like to receive the monthly reports directly into your inbox, please email us your request.

 

29 February 2020

31 January 2020

31 December 2019

Performance history

Prices

 

Application 1.0997
Redemption 1.0953
Effective date 2 April 2020
 

Unit price history

 

 

Quay Global Real Estate Fund

Performance summary

As at 29 February 2020

 
Fund
Benchmark*
Value add

1 mnth

3 mnths

6 mnths

1 yr

3 yrs (pa)

5 yrs (pa)

Since inception**

-3.88%

-2.12%

0.65%

13.44%

13.79%

10.60%

14.79%

-4.73%

-2.45%

0.70%

12.44%

10.55%

7.14%

10.93%

0.85%

0.32%

-0.05%

1.00%

3.24%

3.46%

3.86%

Performance figures are net of fees and expenses
*Benchmark is the FTSE/EPRA NAREIT Developed Index Net TR AUD.
**The Quay Global Real Estate Fund was launched on 30 July 2014 by another trustee, and the above performance data relates to this strategy. Bennelong assumed responsibility as replacement trustee on 31 January 2016 – for performance history relating to this date, please contact Client Services on 1800 895 388 (AU) or 0800 442 304 (NZ) or client.services@bennelongfunds.com. Since inception figures are calculated on a p.a. basis.

 Past fund performance is not indicative of future performance.

Download reports

If you’d like to receive the monthly reports directly into your inbox, please email us your request.

 

29 February 2020

31 January 2020

31 December 2019

Performance history

Prices

Application 1.1342
Redemption 1.128
Effective date 2 April 2020
 

Unit price history

Touchstone Index Unaware Fund

Performance summary

As at 29 February 2020

 
Fund
Benchmark*
Value add

1 mnth

3 mnths

6 mnths

1 yr

3 yrs (pa)

5 yrs (pa)

Since inception**

-7.04%

-7.91%

-0.45%

7.89%

7.38%

-

9.75%

-7.76%

-5.22%

-0.71%

8.75%

8.61%

-

11.27%

0.72%

-2.69%

0.26%

-0.86%

-1.23%

-

-1.52%

Performance figures are net of fees and expenses.
*Benchmark is the S&P/ASX 300 Accumulation Index.
**Inception date is 04/04/2016. Since inception figures are calculated on a p.a. basis.

 Past fund performance is not indicative of future performance.

Download reports

If you’d like to receive the monthly reports directly into your inbox, please email us your request.

 

29 February 2020

31 January 2020

31 December 2019

Performance history

Prices

Application 0.8464
Redemption 0.8413
Effective date 3 April 2020
 

Unit price history

>

Wheelhouse Global Equity Income Fund

Performance summary

As at 29 February 2020

 
Fund
Benchmark*
Value add

1 mnth

3 mnths

6 mnths

1 yr

3 yrs (pa)

5 yrs (pa)

Since inception**

-1.95%

0.46%

3.79%

11.95%

-

-

9.54%

-4.88%

-1.60%

5.56%

15.62%

-

-

11.84%

2.93%

2.06%

-1.77%

-3.67%

-

-

-2.30%

Performance figures are net of fees and expenses.
*Benchmark is the MSCI World Index (ex-Australia).
**Inception date is 26/05/2017. Since inception figures are calculated on a p.a. basis.

 Past fund performance is not indicative of future performance. 

Download reports

If you’d like to receive the monthly reports directly into your inbox, please email us your request.

 

29 February 2020

31 January 2020

31 December 2019

Performance history

Prices

Application 1.0472
Redemption 1.0409
Effective date 2 April 2020

 

Unit price history

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