KKR GLOBAL CREDIT OPPORTUNITIES FUND (AUD)
ABN
38627743683
APIR
CHN4364AU
ARSN
661241532
ISIN
AU60CHN43647
The Fund aims to invest opportunistically in a diversified portfolio of primarily loans, bonds, notes (fixed and floating rate) and other debt securities and related financial instruments, including traded senior secured bank loans and high yield bonds.
The Fund may also invest in discounted units of KKC, which is an ASX listed managed investment scheme managed by the Manager and the Investment Adviser. The Fund has the ability to invest in both performing and stressed investments across the ratings spectrum.
There is no intention for the Fund to utilise Derivatives for speculative purposes, however, the Fund may use Derivatives to seek to mitigate the Fund’s exposure to foreign currencies and interest rate risks.
Channel Investment Management Limited ACN 163 234 240 AFSL 439007 (‘CIML’) is the responsible entity/trustee and issuer of units in the fund. The information in this application portal is general information only and is not intended to provide advice to any particular investor, nor take into account an individual’s investment objectives, circumstances or needs. The value of an investment can rise and fall and past performance is not indicative of future performance. Decisions to acquire or continue to hold units in the fund should only be made after considering the information contained in a current Product Disclosure Statement (‘PDS’) and Target Market Determination (‘TMD’).