Bespoke Investment Fund Management for High Net Worth Individuals
Welcome to Aureus Funds, where we specialise in managing investment funds for high-net-worth individuals both in Australia and internationally. Our dedicated team of experts employs a strategic and disciplined approach to ensure long-term growth and stability, providing our clients with peace of mind and exceptional financial returns.
Aureus High Yield Fund provides tailored investment management services to high net worth individuals in Australia and overseas. Our goal is to achieve a 15% annual return while preserving your capital.
Years of Experience
Satisfied & Happy Users
“Start Your Wealth-Building Journey Today”
We value your interest in Moon Cycle Asset Management Unit Trust. Please fill out the contact form below to start your journey with us, and a member of our team will reach out to you promptly to discuss how we can help achieve your financial goals
Effective risk management is at the core of our investment strategy. We employ acomprehensive, multi-layered risk assessment process to identify, evaluate, and mitigate potential risks. B combining quantitative analysis with qualitative insights, we ensure that our portfolio remains resilient against market volatility and unforeseen events. Our commitment to rigorous risk controls helps us safeguard your investments and achieve sustainable returns over the long term.
Investing across a variety of asset classes to balance risk and return.
Led by seasoned professionals with deep market expertise
Clear and open communication about fund performance and strategies.
Comprehensive risk management practices to protect your capital.
Prioritising sustainable growth and capital preservation.
Leveraging cutting-edge techniques to identify and capitalise on emerging opportunities
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Our strategy involves actively managing a diverse portfolio that includes listed Australian and U.S. securities and options, bonds, property, and private equity. By balancing liquid and illiquid investments, we ensure capital preservation and consistent returns, adapting to market conditions to maximise growth and minimise risks.
Our performance fee structure is designed to align the interests of the investment manager with those of our investors. The investment manager is only compensated for performance above a specified hurdle rate, ensuring that fees are directly tied to the success of the fund. Here’s a detailed look at our fee structure:
2% per annum of Fund GAV, calculated and paid monthly.
50% of outperformance above an 8% hurdle rate, calculated and paid monthly.
Detailed fee information including entry fees, management costs, and performance fees.
Get in Touch: For more information or to start investing, contact Phillip Dwyer