MIR Asia (ex-Japan) Equity Fund
MIR's Asia (ex-Japan) Equity Fund was launched in June 2007 on the
foundations of the successful and well established Australian investment
process. The investment process has been built using a proprietary database
which dates back to 1983, containing data that has been cleansed for
inaccuracies and extensively tested. The strategy provides investors with
exposure to the developed and emerging growth markets of the Asian region.
MIR's proprietary quantitative model has been designed to systematically
screen a large universe of over 2000 companies to identify stocks that
exhibit strong value and momentum characteristics. Qualitative analysis is
undertaken by MIR's highly experienced team of analysts located in
Singapore, who have extensive experience investing in Asian markets.
Investment is offered through a discretely managed portfolio or pooled
investment vehicle for Australian and offshore investors.