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Alexander Credit Income Fund

ETL2805AU

Alexander Credit Income Fund ETL2805AU Strategy

The Investment Manager applies a Relative Value Trading approach to identifying opportunities in the fixed income credit markets and an overall hedging strategy that looks to protect against systemic shocks to the markets. The portfolio targets a Credit Duration range of positive five years to negative two years and an Interest Rate Duration range of positive one year to zero years. This means that the portfolio can be short credit risk. The Fund may use derivatives for both investment and hedging purposes.
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.

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Markets

Index
Last price
Change
% Change
All Ordinaries 7,285.10 12.60 -0.17%
CAC 40 7,346.15 35.38 0.48%
DAX 40 16,397.52 182.09 1.12%
Dow JONES (US) 36,245.50 294.61 0.82%
FTSE 100 7,529.35 75.60 1.01%
HKSE 16,830.30 212.58 -1.25%
NASDAQ 14,305.03 78.81 0.55%
Nikkei 225 33,431.51 55.38 -0.17%
NZX 50 Index 11,367.51 37.31 0.33%
S&P 500 4,594.63 26.83 0.59%
S&P/ASX 200 7,073.20 14.10 -0.20%
SSE Composite Index 3,031.64 1.96 0.06%

Market Movers

Name
Last price
Change
% Change
Pilbara Minerals Ltd PLS 3.61 0.03 -0.82%
Mirvac Group MGR 2.04 0.02 -0.97%
South32 Ltd S32 3.09 0.01 0.32%
Santos Ltd STO 6.90 0.01 -0.14%
Telstra Group Ltd TLS 3.79 0.03 -0.79%
Origin Energy Ltd ORG 8.18 0.06 -0.73%
Scentre Group SCG 2.67 0.02 0.75%
Woodside Energy Group Ltd WDS 30.84 0.16 -0.52%
Qantas Airways Ltd QAN 5.35 0.05 0.94%
Endeavour Group Ltd EDV 5.00 0.07 1.42%