Antipodes Global Shares (Quoted Managed Fund)

The Antipodes Global Shares (Quoted Managed Fund) is an exchange traded managed fund listed on the ASX (ticker: AGX1), otherwise known as an active ETF. It provides access to the same highly-rated investment strategy as used for the Antipodes Global Fund – Long via a single trade.

Why invest?

Global investment opportunities with a single trade

Proven track record through similar strategy since 2015

Pragmatic value-focused investment approach

The Fund typically invests in a select number of companies listed on global share markets (usually a minimum of 30 holdings). The Fund may use exchange traded derivatives to achieve the equity exposure. In the absence of finding individual securities that meet Antipodes’ investment criteria, cash may be held. The Fund intends to provide capital growth and income distributions over the long-term.

1 Growth of $10,000 invested in the Strategy since inception on 1 July 2015 to 31 December 2018

2 Regional exposure of the Strategy vs. the Benchmark as at 31 December 2018. Exposures use iShares MSCI ACWI ETF in AUD as Benchmark proxy

For questions about AGX1 please call 1300 010 311
or email:

Key facts

Fund name Antipodes Global Shares (Quoted Managed Fund)
ASX ticker AGX1
Inception date 5 November 2018
Responsible Entity Pinnacle Fund Services Limited
Investment manager Antipodes Partners Limited
Strategy Consistent with Antipodes Global Fund – Long
Objective The Fund aims to outperform the MSCI All Country World Net Index in AUD (‘Benchmark’) over the investment cycle (typically 3-5 years).
Benchmark MSCI All Country World Net Index in AUD
Management fee 1.10% p.a
Performance fee 15% of net return in excess of benchmark, net of the management fee
Distribution Annually, as at 30 June
Unit Registry Automic Pty Limited
Market making agent Deutsche Securities Australia Limited

View and update your details

If you have your Holder Identification Number (HIN) or Shareholder Reference Number (SRN) you can view your shareholding online and update any of the following information: your address, your bank account details and/or your Tax File Number (TFN).

If you have any further queries relating to your investment, please contact the Fund’s Unit Registry, Automic, on:

call 1300 288 664 or +61 2 9698 5414 (international) or email

Additional information
Units on Issue & Redemptions

Monthly updates

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