Australian Companies Fund: March 2026 quarterly update

Australian Companies Fund Update and Outlook

Co-portfolio managers John Whelan and Kevin Bertoli outline the Fund’s positioning following a volatile March 2026. While short-term market weakness impacted returns, the portfolio benefited from strength in commodities, particularly Stanmore Resources. They emphasise ongoing supply constraints in coal markets and highlight how periods of dislocation continue to present selective, valuation-driven opportunities.


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