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Managed Funds
Global Equities

Hyperion Overseas Equity Fund

Overview

The Hyperion Overseas Equity Fund invests in a portfolio of international equities managed by other international equity managers. These external managers go through a rigorous selection process to ensure that their investment philosophies and processes are in line with Hyperion’s own. The fund is typically invested in underlying funds which have an exposure to 40-60 stocks.

Investment objective
To achieve medium to long-term capital growth and income by investing in international equities.

Risk profile
Aggressive – For investors who are willing to take more risk in search of greater returns. Aggressive investors are comfortable with volatility and with the possibility of negative returns and aim to invest over a long period.

Suggested minimum investment period
5 Years

Benchmark
MSCI World Index ex Australia in Australian dollars.

Asset Allocation
International Equities: 80 - 100%
Individual Trust Holdings: 0 - 100%
Fixed Interest and Cash: 0 - 20%
Minimum number of stocks in Fund 0
Maximum number of stocks in Fund 60

Fees & Charges
Entry fee – Nil
Exit fee – Nil
Management expense ratio – 1.12%
Buy/Sell Spread – 1.00% (0.50% in /0.50% out)

Product Disclosure Statements

  - Hyperion Overseas Equity Fund
- Hyperion Managed Fund
  - Hyperion Australian Growth Companies Fund
- Hyperion Small Growth Companies Fund

How to invest
Wholesale investors may invest via the Hyperion Wholesale Managed Funds Product Disclosure Statement. Hyperion’s wholesale managed funds require a minimum initial investment of $50,000.

The information on this page was prepared by Hyperion Asset Management, ABN 80 180 135 897 AFSL 238 380, for wholesale investors. The information is not intended as a securities recommendation or statement of opinion intended to influence a person or persons in making a decision in relation to investment. This document does not take account of any person’s objectives, financial situation or needs and before acting, an investor should consider the appropriateness of the investment having regard to their objectives, financial situation and needs. This document is provided to the recipient only and must not be copied or passed on to any other person without the consent of Hyperion Asset Management. Past performance is not an indicator or guarantee of future performance. Investment performance is presented gross of investment management fees and other expenses, including custody. Hyperion Asset Management believes the information contained in this communication is reliable, however, no warranty is given as to its accuracy and persons relying on this information do so at their own risk.

 

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