Australian Stock Exchange Limited

Thursday, 14 July 2016

MARKET ANNOUNCEMENT CBG Fund Details as at 30 June 2016

As at 30 June 2016, Bentley had ~$4.85 million (31.2% of its net assets) invested in the CBG Australian Equities Fund (Wholesale) (CBG Fund) (31 May 2016: ~$5.06 million (31.0%)).

About the CBG Fund

The monthly performance of the CBG Fund for June 2016 was -4.2% (31 May 2016: 4.1%) compared with its benchmark performance (S&P/ASX 200 Accumulation Index) of -2.5% (31 May 2016: 3.1%).

The CBG Fund is a wholesale fund not open to retail investors. The objective of the fund is to outperform the S&P/ASX 200 Accumulation Index over the medium term. The Investment Manager is 'style neutral' and invests in growth stocks, value stocks, stocks with maintainable dividend yields and special situations.

CBG Fund details as at 30 June 2016:

  • The equity weighting was 93.65% (31 May 2016: 86.63%);

  • 85.7% of the equity portfolio is invested in companies contained within the S&P/ASX 200 Index (31 May 2016: 85.2%) with the balance of 14.3% invested in companies outside of the S&P/ASX 200 Index (31 May 2016: 14.8%); and

  • The equity portfolio contained 45 holdings (31 May 2016: 46 holdings).

    CBG Australian Equities Fund - Performance

    Returns To:

    1mth

    3mths

    6mths

    1yr

    2yrs

    3yrs

    Since Inception

    30 June 2016

    (%)

    (%)

    (%)

    (%)

    (% p.a.)

    (% p.a.)

    (% p.a.)

    CBG Fund

    -4.2%

    -0.2%

    -7.4%

    2.0%

    3.2%

    9.2%

    9.3%

    ASX / S&P 200

    Accumulation Index

    -2.5%

    3.9%

    1.1%

    0.6%

    3.1%

    7.7%

    7.8%

    www.bel.com.au

    BENTLEY CAPITAL LIMITED A.B.N. 87 008 108 218

    Level 2, 23 Ventnor Avenue, West Perth, Western Australia 6005

    ASX Code: BEL T | (08) 9214 9757 F | (08) 9214 9701 E | info@bel.com.au

    20160714 BEL ASX CBG Fund Details as at 30 June 2016

    CBG Australian Equities Fund Top 20 Holdings and Sector Weights

    Top 20 Holdings

    Fund Weight

    Sector weights

    Fund Weight

    ASX

    Code

    Asset Name

    30

    Jun

    31

    May

    Sector

    30

    Jun

    31

    May

    CBA

    COMMONWEALTH BANK OF AUSTRALIA

    10.8%

    9.6%

    Financials (ex-Real Estate)

    40.4%

    39.7%

    WBC

    WESTPAC BANKING CORPORATION

    7.9%

    6.9%

    Industrials

    22.8%

    20.7%

    TCL

    TRANSURBAN GROUP LIMITED

    5.9%

    5.1%

    Consumer Discretionary

    7.7%

    6.5%

    MQA

    MACQUARIE ATLAS ROADS GROUP

    5.4%

    5.2%

    Utilities

    6.1%

    4.9%

    ANZ

    ANZ BANKING GROUP LIMITED

    4.7%

    4.7%

    Information Technology

    5.8%

    4.8%

    HGG

    HENDERSON GROUP LIMITED

    3.9%

    4.2%

    Real Estate

    5.3%

    4.6%

    MFG

    MAGELLAN FINANCIAL GROUP

    3.8%

    3.5%

    Health Care

    3.2%

    3.1%

    SYD

    SYDNEY AIRPORT LIMITED

    3.7%

    3.2%

    Telecommunication Services

    1.0%

    1.0%

    AIA

    AUCKLAND INTERNATIONAL AIRPORT LTD

    3.5%

    3.1%

    Materials

    0.7%

    0.7%

    NAB

    NATIONAL AUSTRALIA BANK LIMITED

    3.5%

    3.5%

    Consumer Staples

    0.6%

    0.8%

    DUE

    DUET GROUP

    3.1%

    2.5%

    Cash/Hybrids/Fixed Interest

    6.4%

    13.4%

    APA

    APA GROUP LIMITED

    3.0%

    2.4%

    LLC

    LENDLEASE GROUP

    2.9%

    2.6%

    ACX

    ACONEX LIMITED

    2.5%

    1.9%

    EGH

    EUREKA GROUP HOLDINGS LIMITED

    2.4%

    1.9%

    IFL

    IOOF HOLDINGS LIMITED

    2.1%

    1.9%

    REA

    REA GROUP LIMITED

    2.0%

    1.6%

    AHG

    AUTOMOTIVE HOLDINGS GROUP

    2.0%

    1.9%

    TNE

    TECHNOLOGY ONE LIMITED

    1.6%

    1.5%

    RMD

    RESMED INC LIMITED

    1.5%

    1.4%

    Notes:

  • The 'About the CBG Fund' section is based on information provided by CBG Asset Management Limited.

  • Units invested in the CBG Australian Equities Fund (Wholesale) are valued at the audited unit price published by the investment manager, CBG Asset Management Limited, as at month end - the unit price reflects the net asset backing of the fund; there is no buy/sell spread price; there is no recognition of realisation costs as there are no exit fees charged on redemption of units.

FOR FURTHER INFORMATION:

Farooq Khan Chairman

Victor Ho Company Secretary

T | (08) 9214 9757

T | (08) 9214 9757

E | info@bel.com.au

E | cosec@bel.com.au

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Bentley Capital Limited published this content on 15 July 2016 and is solely responsible for the information contained herein.
Distributed by Public, unedited and unaltered, on 15 July 2016 03:13:03 UTC.

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