Harbour Long Short

24399

Harbour Long Short 24399 Strategy

The Fund is an actively managed, high conviction portfolio investing principally in ‘long’ and ‘short’ listed New Zealand and Australian equities. The focus is on delivering positive returns through the market cycle by investing in long and short-sold equity positions with no particular attention to an equity benchmark. The fund is expected to have lower volatility than equity benchmarks. Given the unique features of this Fund, it may not be appropriate for all investors.
The investment objective & strategy is a summary of the investment's principal strategy as written in the prospectus. This information is pulled from the most recent product disclosure document.

Funds News & Analysis

funds

The investment philosophy that convinced advisers to stop chasing winners

The investment manager that every adviser knows, but many individual investors don’t.
funds

6 Investment Lessons from legendary fund manager

Contrafund’s long-term results stemmed from a disciplined investment process that Danoff refined over more than three decades.
funds

How to tell if a fund or ETF will likely underperform

The funds that have been rated negative by our analysts have characteristics in common.

Morningstar Investment Ideas

Markets

Index
Last price
Change
% Change
All Ordinaries8,978.8034.20-0.38%
CAC 408,338.8139.05-0.47%
DAX 4024,830.9884.51-0.34%
Dow JONES (US)52,146.42406.55-0.77%
FTSE 10010,600.3728.130.27%
HKSE24,562.24446.36-1.78%
NASDAQ25,520.24361.70-1.40%
Nikkei 22564,141.122,694.42-4.03%
NZX 50 Index13,694.6879.900.59%
S&P 5007,457.6976.08-1.01%
S&P/ASX 2008,796.7020.10-0.23%
SSE Composite Index3,764.15118.26-3.05%

Market Movers