Pendal has core investment management capabilities in Australian equities across a range of portfolio types.
Within the local market we have one of the most highly regarded and best resourced Australian Equity teams with in depth equity research coverage across the market cap spectrum as well as specialised investment professionals in the area of Sustainability, Risk Management via our Equity Derivative specialists. Our portfolios are managed by some of Australia’s most proven and experienced Portfolio Managers across Large cap, Small, Mid, Micro Cap and Long Short Equities. This depth and breadth of expertise provides clients with multiple options in accessing Australian Equities exposure via one of the most consistent outperformers in the market.
Core investment style
We invest in all types of companies without a predetermined bias. This approach maximises our proprietary research capabilities and our universe of investment opportunities, while allowing us to focus on stock-specific risk rather than style risk. Ultimately, a core style enables us to deliver consistent outperformance regardless of market trends. Using this fundamental investment process we aim to add value through active stock selection and company research. We select stocks based on our assessment of their long-term worth and their ability to outperform the market. Our research is performed by one of the largest, most experienced and stable research teams in the Australian market. Our depth of resources along with our transparent, repeatable and accountable process that is applied with a demonstrable risk management discipline allows us to create sustainable and consistent outperformance for our clients. The company research we undertake focuses on four key factors: valuation, financial risk, a company’s franchise and its management quality. Our performance shows the benefits of this research platform: diversified sources of value-add obtained across a range of market conditions.