Hedge Fund disclosures – Russell Investments Australian Opportunities Fund

  • This is where we disclose information in accordance with our obligations under ASIC’s Regulatory Guide 240 and includes the following:
  • Material changes to the Fund’s Investment strategy
  • Changes to Investment personnel playing a key role in investment decisions for the Fund
  • Material changes to the Fund’s risk profile
  • Changes to key service providers
  • Please close this window to view the current NAV of the Fund. To view the redemption value of a unit in each class of units (as at the date the NAV was calculated) and net investment returns after fees and costs, visit https://russellinvestments.com/au/support/managed-funds/funds
  • You can access the Fund's annual hedge fund disclosures here.

Russell Investments' ownership is composed of a majority stake held by funds managed by TA Associates Management, L.P., with a significant minority stake held by funds managed by Reverence Capital Partners, L.P. Certain of Russell Investments' employees and Hamilton Lane Advisors, LLC also hold minority, non-controlling, ownership stakes.

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