Our Montaka Active Extension strategy strives for maximised return over the long-term. Owning the Montaka long portfolio typically scaled up to approximately 130 percent - and the Montaka short portfolio typically scaled down to approximately 30 percent – this strategy results in a net market exposure of approximately 100 percent most of the time.

Our Montaka variable net strategy strives for significant downside protection – but with minimal upside reduction. Focused on owning the world’s great and growing businesses when they are undervalued, while managing a portfolio of short positions in businesses that are deteriorating, misperceived, and overvalued, this strategy is our flagship long-short offering.

Our Montgomery Global strategy strives to act as a core, high conviction, global portfolio holding. Consistent with the long portfolios in our Montaka strategies, this offering is focused on owning the world’s high quality, undervalued businesses – and cash when appropriate – to outperform its benchmark. Branded as “Montgomery Global” in Australia to reflect a key distribution partnership with Montgomery Investment Management, this is our classic long-only offering.

Our Montaka Active Extension strategy strives for maximised return over the long-term. Owning the Montaka long portfolio typically scaled up to approximately 130 percent - and the Montaka short portfolio typically scaled down to approximately 30 percent – this strategy results in a net market exposure of approximately 100 percent most of the time.

Our Montaka variable net strategy strives for significant downside protection – but with minimal upside reduction. Focused on owning the world’s great and growing businesses when they are undervalued, while managing a portfolio of short positions in businesses that are deteriorating, misperceived, and overvalued, this strategy is our flagship long-short offering.

Our Montgomery Global strategy strives to act as a core, high conviction, global portfolio holding. Consistent with the long portfolios in our Montaka strategies, this offering is focused on owning the world’s high quality, undervalued businesses – and cash when appropriate – to outperform its benchmark. Branded as “Montgomery Global” in Australia to reflect a key distribution partnership with Montgomery Investment Management, this is our classic long-only offering.

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Trending Insights

Access our latest research and insights from the Montaka Investment Team

17 Sep 2020
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Recent Blogs
The value of curation in online marketplaces

Online marketplaces can be cash cows if revenues cover the high upfront fixed costs due to low incremental costs. But how can a marketplace reach that inflection point so that the flywheel begins to turn in their favour?

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26 May 2020
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Recent Blogs
Earnings Still Matter

Despite the hindered economic and business activity round the world, the equity markets have continued to rise. This superficially suggests that the equity market does not seem to care about earnings – yet. History shows that in the long run earnings will still matter.

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29 Nov 2019
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Whitepapers
Part 1: Low Rates, Assets Inflate

In this two-part Whitepaper series, we consider the likely drivers of low interest rates that are currently being
observed, particularly around demographics, indebtedness, technology, globalisation and the
structure of the international monetary and financial system.

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28 Oct 2019
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Recent Blogs
The long-term history of long-term interest rates

I have written previously about our view that interest rates are likely to remain low for a protracted period.

24 Oct 2019
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Recent Blogs
Are stock valuations naturally biased upwards?

Conventional wisdom and historical evidence support the observation that “stock prices always go up over time”.

22 Oct 2019
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Recent Blogs
China’s Censorship Anaconda Awakens

US companies and executives are increasingly taking strong stances on local policy matters such as health care and gun control; however, until recently they had largely avoided scrutinising China’s position on free speech and human rights.

15 Oct 2019
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Videos
Chris DeMasi on growth & volatility

Chris DeMasi, our portfolio manager discusses where he sees growth opportunity in volatile markets on 'Bloomberg Markets.

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24 Sep 2019
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Recent Blogs
Is monetary policy in the US about to get easier?
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13 Sep 2019
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Recent Blogs
Our take on the current market volatility
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06 Sep 2019
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Recent Blogs
As the range gets wider, investing gets harder
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03 Sep 2019
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Recent Blogs
Customers Don’t Grow on Trees
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09 Aug 2019
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Recent Blogs
The Yield Paradox
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