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Australian Investor Market Perspective Greg Matthews Chief Executive Officer Independent Asset Management. Disclaimer.
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Australian Investor Market PerspectiveGreg MatthewsChief Executive OfficerIndependent Asset Management
Disclaimer The material shown in this presentation has been prepared and issued by Ventura Investment Management Limited, ABN 49 092 375 258, AFSL 253045 (Ventura). Equity Trustees Limited ABN 46 004 031 298, AFSL 240975 (EQT) is the responsible entity of the Ventura and All Star series of funds. Information contained in this document is of a general nature only. It is not intended as advice, as it does not take into account your individual objectives, financial situation or needs. Investment can only be made on an application form attached to the Product Disclosure Statement (PDS) or through an IDPS operator . Copies of the PDS are available from Ventura or your financial planner.
History shows big rises after 50% falls and 5 year bear markets in 1973, 1987 4
ASX300 remains cheap due to resource shares – P/E can support rise to 6000
Banks share of market cap 10 year highResources at 6 year low
Chinese market up 17% from end 2012 A good lead for ASX resource stocks
Resources P/E 12x - still over 20% below average despite superior growth prospects
Clearance rates up and upper end properties starting to sell
Domestic cyclical industrials still very cheap vs defensive yield stocks
Very high active share score – walking the talk Active share score – monthly since December 2007 .
Outlook for performance • IAM performed very strongly after GFC Portfolio positions similar now to post GFC period • Same factors driving markets now • Shares still undervalued relative to bonds and cash • quantitative easing and rising commodity prices • very low ownership of shares and “risk assets” • bubble in “safe havens” • Expect strong rise in very undervalued market led by resources • IAM positioned for move to 5000 near-term and 6000 in 1 year 41
Thank you • Appendix portfolio positioning 42
Portfolio Construction Sector Allocation since inception of All Star Fund
Portfolio Construction Sector Allocation – 12 month shift
Current Portfolio Positioning Sector positions: X-axis labels show actual positions held, y-axis shows relative to index 28 February 2013 45