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Investing  
in the Future

Bateau Asset Management is a boutique investment manager led by experienced institutional professionals. Bateau Asset Management is founded on a core philosophy of absolute return investing.

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We believe conventional portfolio design is prone to undesirable volatility and large negative shocks. Bateau Asset Management places an equal emphasis on capital preservation and return optimisation. In our view there are 3 fundamental elements to optimal portfolio design:

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  1. A pragmatic, market-aware approach to asset allocation

  2. Active exploitation of the complete universe of traditional and alternative assets

  3. Identification of skilled investment managers

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Bateau Asset Management has a strong commitment to research and education with the objective of delivering clients rigorously constructed absolute return portfolios that they can understand. Bateau Asset Management serves a range of clients including high net worth individuals, family offices, non- profit organizations and other institutional clients.

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Unit 9, 233 Berrigan Drive

Jandakot WA 6164

(08) 9417 4727

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© 2021 by Bateau Asset Management Pty Ltd

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Important Information

The information contained on this website regarding the Bateau Global Opportunities Fund ARSN 611 746 975 (Fund) is given in good faith and has been derived from sources believed to be reliable and accurate. However, neither Bateau Asset Management Pty Ltd ABN 14 161 051 243 (an authorised representative under AFSL 237058), nor any of its employees, directors or shareholders, gives any warranty of reliability or accuracy and shall not be liable (whether in contract, tort- including negligence, equity or any other basis) for errors or omissions herein, or any loss or damage sustained by any person relying on such information, whatever the cause of loss or damage. Past performance is not a guarantee of future returns. No person, including the directors of Bateau Asset Management, guarantees the repayment of units in the Fund or any returns of units in the Fund . Returns can be negative as well as positive and returns over different periods may vary. All fees are stated on a GST inclusive basis. You should obtain a copy of the Product Disclosure Statement before making a decision about whether to invest in this product. The Responsible Entity of the Fund is One Managed Investment Funds Limited ABN 47 117 400 987 AFSL 297042.

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