Macquarie Global Listed Real Assets Fund is a diversified, actively managed mutual fund focused on global real asset securities, including sectors such as infrastructure, real estate, and energy. Its primary objective is to deliver total return above inflation, emphasizing both capital appreciation and income generation. The fund employs a dynamic, multi-asset allocation strategy, guided by global macro assessments and rigorous pairwise asset comparisons, to identify relative value opportunities across listed real asset classes. By investing in assets linked to inflation and sectors with structural demand—such as utilities, transport, and real estate—the fund aims to provide investors with inflation protection, portfolio diversification, and reduced correlation to traditional equity and fixed income markets. A team of dedicated specialists underpins the investment process, integrating top-down asset allocation with in-depth, bottom-up security selection. This approach positions the fund to play a significant role for investors seeking to hedge inflation risks and enhance long-term portfolio resilience in varying market environments.
See your Portfolio Score and get data driven insights in ~60 seconds.
Opens in PortfolioPilot
Based on technical indicators and chart patterns, DPREX shows...
Market sentiment analysis indicates...