- (02) 8277 0000
- Address: Level 16 Governor Macquarie Tower, 1 Farrer Place, Sydney NSW 2000
Atlas Australian Equity Income Fund
One Investment Group - Investors
The Atlas Australian Equity Income Fund (formerly Atlas High Income Property Fund) ARSN 618 658 567 (the Fund) is an open-ended registered fund for retail and wholesale investors, which will seek to capture returns from investing in Australian ASX-listed securities.
The Fund’s objective is to deliver quarterly income, which is seen as being suitable for pension phase investors and self-managed superannuation funds and for those who want to retain exposure to listed equity in their portfolio.

Investment Manager.
Atlas Funds Management Pty Ltd (Atlas) has been appointed as the investment manager to the Fund. Atlas is a Sydney based boutique asset manager, established in 2017 specialising in investments in listed and unlisted securities and the enhancing of income generated by implementing a call option strategy.
Why Choose Us?
The Fund aims to provide investors with income primarily through the acquisition of securities in the S&P/ASX 200 Index. There will be an overlay of an active strategy of selling call options over a portfolio of ASX-listed securities. A portion of the additional income may be used to purchase put options to reduce capital risk.
Atlas will use its quantitative and qualitative analysis to identify securities within the S&P/ASX 200 Index listed that may:
- deliver a consistently higher than average distribution yield; and
- allow the fund manager to generate additional income via writing call options over the property securities held.
Additionally, between 40-85% of the securities held (by value) will be subject to an overlay strategy of selling call options. These options will be security-specific over-the-counter or, exchange-traded options or index options. Additionally, Atlas will look at buying put options, which are either specific security exchange-traded options or index options to protect capital.
Additional Information.
The Investment Manager aims to provide Investors with quarterly distributions through investment in an actively managed and diversified portfolio of assets, while affording flexibility to Investors who wish to withdraw from the Fund.
Should this be of interest, please read the Product Disclosure Statement and additional Information Booklet available of this page and if you wish to invest please complete the application form.
fund Resources.
- Notice – Change of Address
- Notice - New PDS, AIB and TMD issued 15 August 2024
- Notice - Change of Name
- Notice - Proposed change of Investment Strategy and Name
- Continuous Disclosure Notice – Investment Manager Change of Address
- Fund Update - Notice to Scheme Members
- Fund Update - Statement to update PDS information
- Fund Update - Change of Address
- Fund Update - Change from FOS to AFCA for complaints
- Annual Financial Report - 30 June 2025
- Interim Financial Report - 31 December 2024
- Annual Financial Report - 30 June 2024
- Interim Financial Report - 31 December 2023
- Annual Financial Report - 30 June 2023
- Interim Financial Report - 31 December 2022
- Annual Financial Report – 30 June 2022
- Annual Financial Report – 30 June 2021
- Annual Financial Report - 30 June 2020
- Annual Financial Report - 30 June 2019
- Annual Financial Report - 30 June 2018
- Continuous Disclosure Notice - new PDS, AIB and TMD issued 15 August 2024
- Continuous Disclosure Notice - Change of Name
- Continuous Disclosure Notice - June 2024 Distribution
- Continuous Disclosure Notice - Proposed change of Investment Strategy and Name
- Continuous Disclosure Notice - March 2024 Distribution
- Continuous Disclosure Notice - December 2023 Distribution
- Continuous Disclosure Notice - September 2023 Distribution
- Continuous Disclosure Notice - June 2023 Distribution
- Continuous Disclosure Notice - March 2023 Distribution
- Continuous Disclosure Notice - December 2022 Distribution
- Continuous Disclosure Notice - September 2022 Distribution
- Continuous Disclosure Notice - June 2022 Distribution
- Continuous Disclosure Notice - Becoming a Disclosing Entity
- The current buy/sell spread is +/- 0.15%
Contact Us.
Should you have any queries, please contact us on atlas@oneinvestment.com.au
or call us on (02) 8277 0000.
If you have any general queries, please contact us via email enquiries@oneinvestment.com.au.
Get in touch with the one investment team
One Investment Group is an independent funds management business specialising in providing Responsible Entity, Trustee, Custody and Administration services.
Contact Information
- Phone: (02) 8277 0000
-
Address: Level 16 Governor Macquarie Tower,
1 Farrer Place, Sydney NSW 2000
We acknowledge the Traditional Custodians of the land on which our office stands. The Gadigal people of the Eora Nation, and pay our respects to Elders past, present and emerging.