SAVANA US SMALL CAP ACTIVE ETF

ASX:SVNP

Introducing Savana's first Active ETF, provides exposure to undervalued US Small Caps.
Strategy Inception
6 November 2024
SVNP is launched on the ASX
Benchmark
S&P Small Cap 600
Gross Total Return Index (AUD)
Total Return
xx%
Since Strategy Inception
Total Outperformance
xx%
Since Strategy Inception
REASONS TO CONSIDER

Why SVNP

01
Collective Intelligence, Codified
Built on Collective Intelligence science and Santa Fe Institute, our philosophy leverages diverse, independent inputs to enhance investment precision.
02
Collective Intelligence, Codified
Builton Collective Intelligence scienceand Santa Fe Institute, our philosophy leverages diverse, independent inputs toenhance investment precision.
03
Collective Intelligence, Codified
Builton Collective Intelligence scienceand Santa Fe Institute, our philosophy leverages diverse, independent inputs toenhance investment precision.
Performance

Growth of A$10,000

As At

Growth of A$10k if invested in the Fund

ASX : SVNP
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SVNP
S&P 600 TR (AUD)
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Total returns are calculated in Australian dollars based on the net asset value per unit. Returns are after fees and costs with dividends reinvested. Returns since inception are annualised. Past performance is not a guarantee of future outcomes. Investment values can fluctuate due to market conditions, and thereis a risk of losing your principal. Always assess your financial objectives and consult a professional advisor before making investment decisions.
FORESIGHT ANALYTICS
Strong
"Strong" Investment Rating by Foresight Analytics
The Savana US Small Caps Active ETF has received a Strong investment rating from independent research house Foresight Analytics.
Download Ratings Report →
FUND INFORMATION

Fund Details

The objective of the Savana US Small Caps Active ETF is to outperform the S&P 600 Total Return Index, after fees, over a medium to long term investment horizon.
Fund Name
Savana US Small Caps Active ETF
Exchange Code
SVNP
Benchmark
S&P 600 Total Returns Index AUD
ARSN
649028722
ISIN
AU60ETL81113
Issuer
K2 Asset Management Ltd
Unit Registry
Apex Fund Services Pty Ltd
Domicile
Australia
Base Currency
AUD
Hedging
No
Fund Inception1
21 January 2022
Strategy Inception1
6 November 2024
Management Fee
1.00% (incl. GST & RITC) of net asset value
Performance Fee
15.00% (incl. GST & RITC) of the difference in the Fund's return (net of management fees) relative to its benchmark return subject to a high watermark.
Last Close NAV Per Unit
As At
xx
Intra-Day iNAV
Last Updated
xx
Change