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Investment Update

September 2020

Dear Unitholder,

GCI Distribution
GCI announced a 0.71 cents per unit distribution for the month, generating a distribution yield for the 12 months to September 2020 of 4.30% (net).
Gryphon Market Update - Webinar
Gryphon Capital co-founders, Steven Fleming and Ashley Burtenshaw, will provide a live webinar update on GCI’s portfolio and the markets to financial advisers at 12.30pm AEDT on Tuesday 10 November. Advisers who are familiar with GCI and those new to the fund are all encouraged to join. An invitation with further details will be sent in the coming weeks.

Please email any questions you may have to info@gcapinvest.com.

In addition to the webinar, Steven and Ashley will meet with advisers directly during the first half of November. To register your interest in receiving an update, please contact Seed Partnerships at info@seedpartnerships.com.

GCI’s latest Investment Update has now been released and we encourage you to download the report.
Download the latest GCI Investment Update
GCI Snapshot as at 30 September 2020
ASX Code GCI
IPO Date 25 May 2018
Assets Fixed Income, floating rate
ASX Price / NTA (Unit) $1.88 / $2.00
Market Cap $386.5m
Investment Management Fee1 0.72%
Performance Fee None
Distributions Monthly
Current Yield2 4.71%
Unit Pricing Daily
Fund Performance as at 30 September 2020
Performance 1 Mth 3 Mth 6 Mth 1 Yr Incept (Ann)
Net Return (%) 0.49 1.25 2.33 3.83 4.55
RBA Cash Rate (%) 0.02 0.06 0.13 0.48 1.01
Net Excess Return (%) 0.47 1.18 2.21 3.33 3.51
Distribution3 (%) 0.36 1.08 2.08 4.30 4.51
Distribution (c/unit) 0.71 2.15 4.12 8.43 8.84
1 Includes GST, net of reduced input tax credits.

2 September 2020 distribution as % of unit price, annualised.

3 Actual distribution as a % of NTA, assuming distribution reinvestment.

One Managed Investment Funds Limited (ABN 47 117 400 987) (AFSL 297042) (OMIFL) is the responsible entity of the Gryphon Capital Income Trust (ARSN 623 308 850 (“Fund”). Information contained in this document was not prepared by OMIFL but by other parties. While OMIFL has no reason to believe the information is inaccurate, the truth or accuracy of the information cannot be warranted or guaranteed. Before making any decision regarding the Fund, investors and potential investors should consider the Product Disclosure Statement (PDS) and other continuous disclosures available on the Australian Securities Exchange ("ASX") website (Disclosure Material). The Disclosure Material contains important information about investing in the Fund and it is important investors obtain and read the Disclosure Material before making a decision about whether to acquire, continue to hold or dispose of units in the Fund. Investors should also consult a licensed financial adviser before making an investment decision in relation to the Fund. Past performance is not indicative of future performance.
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