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Home News Funds Management

King of the long/short

One Australian long/short fund has returned 87.25% over the last year, according to data from FE Analytics.

by Chris Dastoor
February 21, 2020
in Australian Equities, Funds Management, Investment Insights, News
Reading Time: 2 mins read
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The Regal Australian Small Companies fund has returned 87.25%, year to 31 January, 2020, according to data from FE Analytics.

Its benchmark, the S&P/ASX Small Ordinaries Index returned 18.84% in the same time frame.

X

The fund, managed by Todd Guyot, had returned 33.07% annualised over the last three years.

The fund’s inception was 2 February, 2015, and it delivered a return of 329.31% from inception to 31 January, 2020.

“We are typically a 130/30 fund, meaning we are 130% invested on the long side and 30% on the short side, that allows us to add alpha on the long side and on the short side,” Guyot said.

Their strategy was done by buying a share portfolio with 100% of the capital, then borrowing shares worth 30% of the capital and selling them in the market, then buying an additional 30% in shares with the capital released from short selling.

The final exposure is 100% net (long minus short) of the original capital, and 160% gross (long plus short).

The small companies fund was designed to have a heavier weighting to long positions over short positions, which meant it would most likely display a general correlation to Australian small companies.

Performance of the Regal Australian Small Companies fund compared to its benchmark and the ACS Australia Small/Mid Cap sector (sector of funds with a similar benchmark), year to 31 January, 2020

Tags: Australian EquitiesRegal

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