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Fund ratings and platform availability
● Available on platform ●1 Available on HUB24 IDPS If you cannot see the fund you are interested in on a particular platform, contact us using the form below. Lonsec The rating issued 10/2024 – Maple-Brown Abbott Australian Share Fund – Wholesale, 10/2024 – Maple-Brown Abbott Australian Small Companies Fund, 10/2024 – Maple-Brown Abbott Australian Value Opportunities Fund, 04/2025 – Maple-Brown Abbott Diversified Investment Trust, 09/2024 – Maple-Brown Abbott Global Listed Infrastructure Fund and Maple-Brown Abbott Global Listed Infrastructure Fund – Hedged are published by Lonsec Research Pty LtdABN 11 151 658 561 AFSL 421 445 (Lonsec). Ratings are general advice…
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Financial Services Guide Fund rating and platform availability Right to receive documents
Unit prices
Maple-Brown Abbott Funds unit prices
Distributions
Maple-Brown Abbott Funds Distributions
Australian value equities
Our commitment to value investing remains unchanged.We are a disciplined Australian equities value manager that has been managing Australian equities since we were established in 1984. Over time we have made refinements to our investment process, however our commitment to value investing remains unchanged. We are value investors We believe that the price and value of a company are often not the same and deviate over time. ‘Price is what you pay, value is what you get’ best summarises this difference. Greed and fear in markets can drive a wedge between these concepts at the stock level and we seek…
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Our approach to esg Australian equities
We believe that ESG risks and opportunities have the potential to impact long-term financial returns. We know that better insights lead to better decisions, and so we have developed a bespoke approach to integrating ESG factors into the investment process across all portfolios in our Australian equities strategy. Our approach to responsible investment includes proprietary frameworks and research to inform investment decisions, company and thematic engagement to drive better outcomes and proxy voting across all securities. Our capability is backed by firm-wide polices and Board oversight. Identified ESG factors are assessed in consultation with the ESG investment specialist, and a…
Our approach to esg multi asset
We believe that ESG risks and opportunities have the potential to impact long-term financial returns. We know that better insights lead to better decisions, and so we have developed a bespoke approach to integrating ESG factors into the investment process across all portfolios in our Multi-asset strategy. Our approach to responsible investment includes proprietary frameworks and research to inform investment decisions, company and thematic engagement to drive better outcomes and proxy voting across all securities. Our capability is supported by a dedicated ESG investment specialist within the Multi-asset team, and backed by firm-wide polices and Board oversight. Identified ESG factors…
Our approach to esg Global listed infrastructure
Actively integrating ESG into the investment process Wholly committed to climate action Recognised leaders and award winners in ESG* The key role global listed infrastructure plays in contributing to the sustainable future of the planet is one of the reasons it is an exciting sector for investors. This opens up many opportunities. It also brings with it increased responsibility to make sure companies are acting on their plans to address environmental issues including climate change risks and decarbonisation, social matters such as diversity and inclusion and human rights and governance factors including executive remuneration and board independence. Having a…