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Ardea Real Outcome Fund (0P0001B7YH)

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0.865 -0.001    -0.09%
02/12 - Closed. Currency in AUD
  • Morningstar Rating:
  • Total Assets: 3.34B
Type:  Fund
Market:  Australia
Issuer:  Challenger Ltd
ISIN:  AU60HOW00981 
Asset Class:  Other
Ardea Real Outcome Fund 0.865 -0.001 -0.09%

0P0001B7YH Overview

 
On this page you'll find an in-depth profile of Ardea Real Outcome Fund. Learn about the key management, total assets, investment strategy and contact information of 0P0001B7YH among other information.
Category

Alternative Strategies

Total Assets

3.34B

Expenses

Inception Date

Jul 20, 2012

Investment Strategy

The investment approach is based on generating returns from relative value strategies that aim to exploit mispricing between comparable fixed income securities which are related to each other and have similar risk characteristics but are priced differently. Ardea believes this type of mispricing exists because fixed income markets are inefficient. Ardea have built a repeatable investment process over time around capturing this mispricing.

Contact Information

Address 255 Pitt Street
Sydney,NSW 2000
Australia
Phone +61 13 51 53
Fax +61 02 9994 7777

Top Executives

Name Title Since Until
Jean Dumas - 2018 Now
Biography Jean Dumas joined Ardea in September, 2018. His primary responsibilities include investment idea generation, portfolio and risk management. His primary area of expertise is interest rate investment strategies and with 24 years’ fixed income experience has geographic coverage over AU, NZ, EU, UK, US, Canada, Sweden, Switzerland. Jean's investment coverage is primarily government bonds, interest rate derivatives, money markets, inflation linked securities, securitised products, loans, FX. Prior to Ardea, he held the the following positions: – Director, AUD volatility market making at Deutsche Bank(Sydney) – Director, Proprietary trading Fixed Income G10 for Deutsche Bank (London, Sydney) – Director and Head of European Relative Value Research at Deutsche Bank (Paris, Frankfurt, London) Jean's qualifications include: – Dip. Engineering from ESME SUDRIA (Ecole Speciale de Mecanique et d’Electricite – Paris)
Gopi Karunakaran - 2017 Now
Biography "Gopi Karunakaran is Ardea IM’s Co-Chief Investment Officer (Co-CIO), together with Ben Alexander. In this capacity they both share responsibility for overseeing the investment process and investment team, with ultimate accountability for ensuring the performance of all portfolios is consistent with client objectives. Gopi joined Ardea IM in 2017, prior to which he was a global fixed income portfolio manager at hedge funds in London and Singapore. He commenced his career with Deutsche Bank in Sydney, on their graduate training program, before moving to a fixed income trading role in their London office. Gopi has +20 years’ experience across global fixed income markets, including the full spectrum of global interest rate and credit markets, as well as broader macro relative value investing across equities, FX and structured products. He has a Master’s degree in Finance from The London School Of Economics And Political Science (LSE) and a Bachelor’s degree in Economics from The University Of New South Wales."
Cameron Shaw - 2013 Now
Biography Cameron Shaw joined Ardea in 2013. His primary responsibilities include investment idea generation, portfolio and risk management, risk budget monitoring, scenario analysis and his primary area of expertise is interest rate investment strategies. He has 13 years’ fixed income experience with geographic coverage over AU, NZ, EU, UK, US, Emerging Markets. Cameron's investment coverage includes government bonds, interest rate derivatives, money markets, inflation linked securities, FX. His role's prior to Ardea: – Head of Investment Analytics, Ashmore Investment Management (London) – Risk Management Consultant, Axxsys Consulting (London) – Risk Manager, Credit Suisse (London) – Investment Analytics Manager, Challenger (Sydney) – Portfolio Analyst, Baird Capital (London) – Compliance Analyst, Goldman Sachs Asset Management (London) Cameron holds a Bachelor of Finance (Quantitative Finance) from the University of Newcastle.
Tamar Hamlyn - 2012 Now
Biography Tamar Hamlyn co-founded Ardea in 2008. His primary responsibilities include macroeconomic analysis, investment idea generation, portfolio and risk management. His primary area of expertise is macroeconomic analysis and interest rate investment strategies. With 19 years’ of fixed income experience, his geographic coverage includes AU, NZ, US, EU, Asia, Latin America. Tamar's investment coverage is primarily government bonds, interest rate derivatives, money markets, inflation linked securities, FX. Prior to Ardea, Tamar held the following positions: – Portfolio Manager (Fixed Income), Credit Suisse Asset Management (Sydney) – Portfolio Manager (Fixed Income, Asset Allocation), Reserve Bank of Australia (Sydney) – Economist and policy analyst, Reserve Bank of Australia (Sydney) Tamar's qualifications include: – Bachelor of Economics (First Class Honours) - University of Queensland – CFA charterholder
Ben Alexander - 2012 Now
Biography "Ben Alexander is Ardea IM’s Co-Chief Investment Officer (Co-CIO), together with Gopi Karunakaran. In this capacity they both share responsibility for overseeing the investment process and investment team, with ultimate accountability for ensuring the performance of all portfolios is consistent with client objectives. Ben is also the Chairman of Ardea Investment Management’s Board and has been delivering industry-leading relative value returns to fixed income investors since 1998. Ben co-founded Ardea IM, a specialist fixed income investment management firm, in 2008. Prior to Ardea IM, Ben headed the fixed income team at Credit Suisse Asset Management in Australia, with responsibility for investment strategies in the Australian and Asian fixed income markets. Ben also held senior regional positions at Credit Suisse encompassing joint ventures in Asia. Ben began his fixed income career with Credit Suisse in 1991. Ben graduated with Honours in Mathematics from the University of Canterbury in Christchurch, New Zealand."
Andrew Bartlett Vice President 2012 2021
Biography Bartlett is vice president at Credit Suisse Asset Management (Australia) Limited. He joined Credit Suisse in January 2005. Bartlett has 10 years of prior experience in credit analysis and debt structuring via BNP and Westpac Institutional Bank. Bartlett holds the Chartered Financial Analyst designation.
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