Global Opportunities Portfolio – March 2026
Global energy transition & AI-infrastructure winners. Active risk control.
High-conviction exposure to global listed equities across North America, Europe/UK and Asia-Pac/Japan, designed to participate in upside while actively managing downside risk across market regimes. The portfolio targets companies enabling electrification, grid build-out, clean power and AI-infrastructure supply chains — with tactical hedging and cash overlays to manage drawdowns.
Global Opportunities Portfolio — SMA Facts
SMA Summary
- Strategy objective: Global long-only equities with active risk management overlay
- Benchmark: MSCI ACWI (or custom blended benchmark) — update as required
- Currency exposure: AUD & USD reporting available
- Risk management: Index hedging, options overlays, tactical cash, regional tilt
- Suitable investors: Wholesale & sophisticated investors seeking long-term capital growth
Performance
Returns
| Series | 1mth | 3mth | 6mth | 1yr | 2yr | 5yr | SI p.a | SI |
|---|

