Our analysts think these companies are undervalued and their shares appear to have the stamp of approval from highly rated ...
We’re almost halfway through February 2025 reporting season. We cover almost 180 stocks set to report this month, and 73 ...
The unique Lincoln research methodology involves rigorous analysis of company fundamentals to assess each prospective investment's financial health and strength. Drawing on both Quantitative and ...
CPI + 4% pa over the very long-term (rolling 7 year periods). 7% defensive, 93% growth. Australian and oversea shares, property, infrastructure and alternative assets. The investment objective & ...
AppLovin Corp is a mobile app technology company. It focuses on growing the mobile app ecosystem by enabling the success of mobile app developers. The company's software solutions provide tools for ...
VRG SA is a Poland-based holding that specializes in the design, manufacture, and distribution of men's clothing and accessories. The company's operating segment includes Apparel and Jewellery. It ...
The Fund is an actively managed fund investing in a portfolio of 30 - 90 Australian small company equity securities across a range of industry sectors, designed with the objective of meeting the ...
Norfolk Metals Ltd is a mineral exploration company. It holds interests in the Roger River Gold Project and the Orroroo Uranium Projects. The Company’s sole activity is mineral exploration and ...
Realindex forms a universe of global companies based on accounting measures, which gives the portfolio a value tilt. Factors such as quality, near-term value and momentum are applied to form a final ...
The Experts’ Choice Balanced Fund (referred to in this Fund profile as the 'Fund') invests in a mix of growth and defensive assets and uses a multi-manager approach. The Fund invests in a broad range ...
The Fund principally invests in equities of Australian and New Zealand companies listed on the ASX and NZX that fall outside the S&P/ ASX200 Index and some cash. The Investment Manager is an active ...
The Fund aims to earn an after fee return in excess of the Bloomberg AusBond Composite 0+yr Index (“Benchmark”) over rolling three-year periods. The investment objective & strategy is a summary of the ...