Dimensional Australian Core Imptn Trust is an Managed Funds investment product that is benchmarked against ASX Index 200 Index and sits inside the Domestic Equity - Large Cap Dividend Index. Think of a benchmark as a standard where investment performance can be measured. Typically, market indices like the ASX200 and market-segment stock indexes are used for this purpose. The Dimensional Australian Core Imptn Trust has Assets Under Management of 289.62 M with a management fee of 0.31%, a performance fee of 0.00% and a buy/sell spread fee of 0.16%.
The recent investment performance of the investment product shows that the Dimensional Australian Core Imptn Trust has returned 4.32% in the last month. The previous three years have returned 9.04% annualised and 14.48% each year since inception, which is when the Dimensional Australian Core Imptn Trust first started.
There are many ways that the risk of an investment product can be measured, and each measurement provides a different insight into the risk present. They can be used on their own or together to perform a risk assessment before investing, but when comparing investments, it is common to compare like for like risk measurements to determine which investment holds the most risk. Since Dimensional Australian Core Imptn Trust first started, the Sharpe ratio is NA with an annualised volatility of 14.48%. The maximum drawdown of the investment product in the last 12 months is -3.58% and -28.86% since inception. The maximum drawdown is defined as the high-to-low decline of an investment during a particular time period.
Relative performance is what an asset achieves over a period of time compared to similar investments or its peers. Relative return is a measure of the asset's performance compared to the return to the other investment. The Dimensional Australian Core Imptn Trust has a 12-month excess return when compared to the Domestic Equity - Large Cap Dividend Index of -1.11% and 0.15% since inception.
Alpha is an investing term used to measure an investment's outperformance relative to a market benchmark or peer investment. Alpha describes the excess return generated when compared to peer investment. Dimensional Australian Core Imptn Trust has produced Alpha over the Domestic Equity - Large Cap Dividend Index of NA% in the last 12 months and NA% since inception.
For a full list of investment products in the Domestic Equity - Large Cap Dividend Index category, you can click here for the Peer Investment Report.
Dimensional Australian Core Imptn Trust has a correlation coefficient of 0.99 and a beta of 1.03 when compared to the Domestic Equity - Large Cap Dividend Index. Correlation measures how similarly two investments move in relation to one another. This establishes a 'correlation coefficient', which has a value between -1.0 and +1.0. A 100% correlation between two investments means that the correlation coefficient is +1. Beta in investments measures how much the price moves relative to the broader market over a period of time. If the investment moves more than the broader market, it has a beta above 1.0. If it moves less than the broader market, then the beta is less than 1.0. Investments with a high beta tend to carry more risk but have the potential to deliver higher returns.
For a full quantitative report on Dimensional Australian Core Imptn Trust and its peer investments, you can click here for the Peer Investment Report.
For a full quantitative report on Dimensional Australian Core Imptn Trust compared to the ASX Index 200 Index, you can click here.
To sort and compare the Dimensional Australian Core Imptn Trust financial metrics, please refer to the table above.
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SMSF Mate does not receive commissions or kickbacks from the Dimensional Australian Core Imptn Trust. All data and commentary for this fund is provided free of charge for our readers general information.
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