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Australian Equities

Magellan offers a range of Australian equity funds through Airlie Funds Management and Vinva Investment Management.
Explore Our Funds
Illustration for Australian Equities

Why Australian Equities?

Airlie and Vinva Funds aim to provide investors with diversification and the potential to generate excess return on capital for years to come. 

Active Management

Active Management

Analysing market signals and adjusting strategies to optimise returns in a dynamic investment environment.

Diversification

Diversification

Diversifying investments across across different industry sectors can help to reduce risk.

Industry Experience

Industry Expertise 

Access to skilled investment teams with decades of experience in investing in Australian equities.

Long Term Growth

Long Term Growth

Investing in companies with the potential to provide long-term wealth creation and compounding opportunities.

Discover our Airlie Australian equity strategies and Vinva systematic Australian equity strategies, providing investors with access to experienced investment teams, in-depth research and the potential to grow earnings over time.  

Australian Equities

Airlie Australian Share Strategy

The Fund delivers a concentrated portfolio of Airlie’s best ideas, typically between 15-35 Australian companies. It seeks to invest in well-run, quality business with strong financial positions, where current valuations do not fully capture this quality.

The investment fund is available in quoted and unlisted form.

Airlie Australian Share Strategy Strategy
The fund is an Active ETF. Quoted units are available on ASX or by investing directly with the fund.
15-35 Stocks

Performance as at 31-Jul-2026 Chart

3 mths 6 mths 1 yr 3 yrs (pa) 5 yrs (pa) 7 yrs (pa) 10 yrs (pa) Since inception
8.07%6.23%3.44%8.70%7.03%9.54%9.61%
Inception date: 31-May-2018 Important Information

Unit Price at 10-Aug-2026
History

Net Asset Value Entry Exit
4.0140 4.0212 4.0068
Estimated NAV Per Unit 4.01 at 11-Aug-2026

Vinva Systematic Australian Equities Strategy

Vinva’s investment approach to active management involves a disciplined, transparent, and repeatable investment process using proprietary data-driven models to invest in Australian stocks, aiming for consistent performance and risk management through rigorous quantitative analysis.

Vinva Systematic Australian Equities Strategy Strategy
Unlisted units, available by investing directly with the fund.
90+ Stocks

Performance as at 31-Jul-2026 Chart

3 mths 6 mths 1 yr 3 yrs (pa) 5 yrs (pa) 7 yrs (pa) 10 yrs (pa) Since inception
4.07%1.69%5.72%9.66%
Inception date: 22-Oct-2024 Important Information

Unit Price at 7-Aug-2026
History

Net Asset Value Entry Exit
1.0990 1.1006 1.0974
Unlisted units, available by investing directly with the fund.
120+ Stocks

Performance as at 31-Jul-2026 Chart

3 mths 6 mths 1 yr 3 yrs (pa) 5 yrs (pa) 7 yrs (pa) 10 yrs (pa) Since inception
4.41%1.51%4.28%7.21%
Inception date: 2-Dec-2024 Important Information

Unit Price at 7-Aug-2026
History

Net Asset Value Entry Exit
0.9871 0.9896 0.9846

Calculations are based on exit price with distributions reinvested, after ongoing fees and expenses but excluding individual tax, member fees and entry fees (if applicable). Past performance is not a reliable indicator of future performance.

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