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ATLAS FUNDS MANAGEMENT - Targeting Income In A Volatile Market

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Manage episode 515788301 series 3570035
Content provided by Andrew Musgrave. All podcast content including episodes, graphics, and podcast descriptions are uploaded and provided directly by Andrew Musgrave or their podcast platform partner. If you believe someone is using your copyrighted work without your permission, you can follow the process outlined here https://podcastplayer.com/legal.

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A reliable pay cheque from shares sounds like a dream, but it doesn’t have to be. We sit down with portfolio manager Phil Cornet from Atlas Funds Management to unpack a straightforward idea with powerful outcomes: hold quality Australian dividend payers and sell call options over them to target a 10% annual cash yield, paid quarterly. It’s a candid look at how buy-write strategies trade some upside for steadier income and lower volatility, and why that swap can make sense when multiples stretch and nerves fray.
Phil walks us through the mechanics of covered calls in plain English, the role of option premiums in smoothing returns, and the clear limitations when markets surge. We dig into their stock selection process across the ASX 200, blending a quantitative dividend-and-liquidity screen with qualitative checks on balance sheets, earnings durability, and industry structure. Instead of big sector bets, the portfolio spreads across GICS groups and stays underweight tech where dividends and liquidity are thin, aiming to deliver market-like breadth with a calmer ride.
We also talk practicalities: who uses a strategy like this, how advisers and institutions blend it with growth allocations, and what realistic distribution targets look like in shifting rate and volatility regimes. With a benchmark tied to RBA cash plus 3%, the fund sets a clear income bar above term deposits, while acknowledging the inevitable trade-offs in runaway bull markets. If you value dependable cash flow, franking potential, and measured risk-taking over chasing every last uptick, this conversation offers a grounded blueprint for income from Australian equities.
Enjoyed the conversation? Follow the show, share it with a friend, and leave a quick review so others can find it. Your feedback helps us bring you more clear, practical investing insights.

  continue reading

Chapters

1. ATLAS FUNDS MANAGEMENT - Targeting Income In A Volatile Market (00:00:00)

2. Fund Focus And Yield Target (00:00:04)

3. Quarterly Distributions And Investor Needs (00:01:36)

4. How The Buy-Write Works (00:02:30)

5. Performance Across Market Cycles (00:04:02)

6. Stock Selection: Screens And Overlays (00:04:47)

7. Sector Positioning Without Tilts (00:06:30)

8. Who Uses The Fund And Why (00:08:16)

9. Yield Sustainability And Benchmark (00:09:41)

10. Outlook And Positioning (00:11:04)

176 episodes

Artwork
iconShare
 
Manage episode 515788301 series 3570035
Content provided by Andrew Musgrave. All podcast content including episodes, graphics, and podcast descriptions are uploaded and provided directly by Andrew Musgrave or their podcast platform partner. If you believe someone is using your copyrighted work without your permission, you can follow the process outlined here https://podcastplayer.com/legal.

Send us a text

A reliable pay cheque from shares sounds like a dream, but it doesn’t have to be. We sit down with portfolio manager Phil Cornet from Atlas Funds Management to unpack a straightforward idea with powerful outcomes: hold quality Australian dividend payers and sell call options over them to target a 10% annual cash yield, paid quarterly. It’s a candid look at how buy-write strategies trade some upside for steadier income and lower volatility, and why that swap can make sense when multiples stretch and nerves fray.
Phil walks us through the mechanics of covered calls in plain English, the role of option premiums in smoothing returns, and the clear limitations when markets surge. We dig into their stock selection process across the ASX 200, blending a quantitative dividend-and-liquidity screen with qualitative checks on balance sheets, earnings durability, and industry structure. Instead of big sector bets, the portfolio spreads across GICS groups and stays underweight tech where dividends and liquidity are thin, aiming to deliver market-like breadth with a calmer ride.
We also talk practicalities: who uses a strategy like this, how advisers and institutions blend it with growth allocations, and what realistic distribution targets look like in shifting rate and volatility regimes. With a benchmark tied to RBA cash plus 3%, the fund sets a clear income bar above term deposits, while acknowledging the inevitable trade-offs in runaway bull markets. If you value dependable cash flow, franking potential, and measured risk-taking over chasing every last uptick, this conversation offers a grounded blueprint for income from Australian equities.
Enjoyed the conversation? Follow the show, share it with a friend, and leave a quick review so others can find it. Your feedback helps us bring you more clear, practical investing insights.

  continue reading

Chapters

1. ATLAS FUNDS MANAGEMENT - Targeting Income In A Volatile Market (00:00:00)

2. Fund Focus And Yield Target (00:00:04)

3. Quarterly Distributions And Investor Needs (00:01:36)

4. How The Buy-Write Works (00:02:30)

5. Performance Across Market Cycles (00:04:02)

6. Stock Selection: Screens And Overlays (00:04:47)

7. Sector Positioning Without Tilts (00:06:30)

8. Who Uses The Fund And Why (00:08:16)

9. Yield Sustainability And Benchmark (00:09:41)

10. Outlook And Positioning (00:11:04)

176 episodes

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