Elstree Enhanced Income Fund August 2024 Performance Review and Market Commentary
The Elstree Enhanced Income Fund’s Net Asset Value (NAV) at the close of business on 30 August 2024 was $0.8607. This compares with the Fund’s
The Elstree Enhanced Income Fund’s Net Asset Value (NAV) at the close of business on 30 August 2024 was $0.8607. This compares with the Fund’s
To read our latest research note entitled ‘Back to the Future: Remembering 1994’ pleaseClick here
With the ASX listed hybrid market being a bit weaker over the June Quarter 2022 we thought we would provide some perspective. In providing perspective
To download a copy of our research note entitled ‘Why an allocation to floating rate credit (aka hybrids) makes sense Click Here and follow the prompts. In
To download a copy of our latest research note on quantifying the tail risk of credit protfolios click on the Research Contents page and follow the prompts.
To follow Campbell Dawson’s thoughts on the lastest corporate hybrid security issuance on youtube click on the Research Contents page and follow the prompts.
To view our thoughts on global bond market liquidity in an article entitled ‘The bond market’s liquidity problem’ in the the Australian Financial Review (AFR)
Will the banks continue to pay dividends on their ordinary shares or will they stop paying them and what are the implications for investors in
We’ve read about it in the press, we’ve read about it in blogs and we’ve read about it in broker research notes. We are of
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