Overview

Investment Objective

The Fund targets returns (before fees, charges and taxes) that exceed the Bloomberg AusBond Bank Bill Index (“Benchmark”) by 1.5% - 2% per annum, when measured over rolling three - year periods.

Fund Highlights

  • Actively invests across a diversified portfolio of Australian and Global fixed income securities, as well as cash equivalent instruments.
  • Employs a risk-controlled approach that combines top-down macro-economic views with fundamental and relative value views regarding industry and issuer opportunities.
  • Seeks to generate strong risk-adjusted returns by diversifying across strategies with a focus on income and liquidity.
Fund Information
Listing Exchange  ASX – XASX
Fund Inception Date  08/04/2021
ETF Listing Date 10/06/2026
Base Currency for Fund  AUD
Valuation Frequency  Daily
Distributions
Distribution Frequency  Monthly
Distribution Amount (CPU) $0.006669
Payable Date 07/05/2026
Charges
Management Fees and Costs   0.50%
Pricing
Daily Price (NAV) $1.1319 as of 09/06/2026
Identifiers
Ticker FEIF
APIR SSB8484AU
ARSN  648 408 548

For Performance, Risk and Portfolio Information, please visit the Managed FundOpens in new window page.

Fund Managers

Fund Manager

Damon Shinnick

Melbourne Australia
Managed Fund Since 2021

Documents

Product Materials
Fact Sheet DownloadOpens in new window
Product Disclosure Statement DownloadOpens in new window
TMD DownloadOpens in new window
Portfolio Holdings DownloadOpens in new window
Annual Report DownloadOpens in new window
Distribution Reinvestment Plan DownloadOpens in new window