Professional Portfolio Management
Access Professionally constructed portfolios curated by the Fat Prophets Wealth Management team. Each model portfolio is actively managed to align with our strategic market views and investment convictions. We are not actively Trading.
Direct Ownership & Tax Efficiency
Investors retain direct ownership of underlying securities with assets held in custody with a Major Australian Financial Insitution. — including all applicable franking credits — and receive individualised tax reporting. Each account is treated separately, ensuring your tax outcomes aren’t impacted by other investors.
True Diversification
Gain exposure to a diversified share portfolio across Australian and global equities, designed to manage risk while targeting consistent, long-term returns — all within a cost-effective structure.
Full Transparency & Control
Enjoy 24/7 online access to view your holdings, performance, and transactions. You’ll always know exactly where your money is invested and how each position is performing.
Accountability You Can See
Our portfolio managers are fully accountable for performance and decision-making within each model portfolio. You invest with clarity, confidence, and clear alignment.
When establishing our Wealth Management division, we evaluated multiple investment structures. We chose Managed Accounts because they offer our clients the transparency, flexibility, and efficiency that traditional pooled investment vehicles often lack. They represent a modern, investor-centric approach to portfolio management — one that aligns perfectly with our philosophy at Fat Prophets.
At Fat Prophets Wealth Management, we offer a suite of professionally managed model portfolios designed to meet a range of investment goals — from income generation and international diversification to growth exposure in key sectors like mining and mid-cap equities. Each portfolio is built with conviction, backed by research, and actively managed by our experienced investment team.
Our flagship Concentrated Australian Shares Portfolio represents the purest expression of the Fat Prophets investment philosophy. Launched in 2007, the CAS model aims to outperform the S&P/ASX 200 Accumulation Index by selectively investing in high-quality companies across the ASX — from blue-chip leaders to emerging mid-tier growth names.
| Term | 1 Month | 3 Month | 6 Month | 1 year |
|---|---|---|---|---|
| CAS Portfolio | 5.29% | 11.31% | 7.69% | 8.11% |
Our Income Portfolio targets listed companies with stable dividend yields and strong balance sheets. Designed for clients seeking consistent income streams, this portfolio is conservative and broadly diversified across sectors of the Australian market.
| Term | 1 Month | 3 Month | 6 Month | 1 year |
|---|---|---|---|---|
| ASI Portfolio | 2.45% | 4.19% | 3.22% | 10.32% |
Launched in 2013, the GOP provides access to international equities aligned with long-term macro themes and our contrarian outlook. The portfolio leverages our global research to identify undervalued, high-quality businesses across major markets, with a strong emphasis on Asia.
| Term | 1 Month | 3 Month | 6 Month | 1 year |
|---|---|---|---|---|
| GOP Portfolio | 3.76% | 5.83% | 16.80% | 30.29% |
One of our oldest portfolios provides focused access to Australia’s mining and energy sectors — from diversified majors to high-potential developers. This model is actively managed to capitalise on global commodity cycles and structural resource trends.
| Term | 1 Month | 3 Month | 6 Month | 1 year |
|---|---|---|---|---|
| Mining & Resources Portfolio | 9.30% | 14.02% | 11.13% | 2.4% |
The small and mid-cap space is under-researched and often misunderstood. This portfolio seeks to identify the next generation of market leaders — companies with strong management, scalable business models, and significant upside potential.
| Term | 1 Month | 3 Month | 6 Month | 1 year |
|---|---|---|---|---|
| Small & Mid-Cap Portfolio | 6.67% | 8.75% | 7.18% | 12.52% |
Asia is a key engine of global growth. Our Asian Portfolio provides exposure to this dynamic region, focusing on high-growth sectors like technology and consumer markets, supported by favourable demographics and structural reforms.
| Term | 1 Month | 3 Month | 6 Month | 1 year |
|---|---|---|---|---|
| Asian Portfolio | x.xx% | x.xx% | x.xx% | x.xx% |
ASX- Listed Australian Stocks:
29M.AU, ANN.AU, ANZ.AU, BPT.AU, BWP.AU, CKF.AU, CBA.AU, EVN.AU, FID.AU, FMG.AU, GOR.AU, GMG.AU, GNC.AU, HUB.AU, ILU.AU, IGO.AU, JHX.AU, MGR.AU, NAB.AU, PAR.AU, QBE.AU, RRL.AU, S32.AU, SBM.AU, TLS.AU, TUA.AU, WES.AU, WBC.AU, WHC.AU, XRO.AUX, AGL.AX, AMC.AX, BHP.AX, CSL.AX, DMP.AX, GDG.AX, WIRE.AX, ATOM.AX, MQG.AX, NIC.AX, NST.AX, ORI.AX, PDN.AX, RMS.AX, RPL.AX, SFR.AX, STO.AX, SUN.AX, VAU.AX, WTC.AX, WDS.AX, GMD.AX, CSC.AX, RIO.AX, GTK.AX, SPK.AX & NEM.AX
International Stocks:
BIDU.CN, 9888.CN, 1211.CN, 268.CN, 3690.HK, 1818.HK, 9618.CN, ENX.FR, BT.A.GB, GENI.GB, FRES.GB, 9988.HK, 2282.HK, 700.HK, 1128.HK, 1876.HK, 8750, 7011.T, 8306.JP, 8031.T, 8411.T, 3994.T, 7974.T, 8604.JP, 8308, 6758.JP, 8316.JP, 8331.T, JP.8308, HEM.SE, GRAB.SG, BABA.K, GOOG.US, AAPL.US, CDE.US, CPNG.K, FLTRF.L, SIL, URA, BZ.O, MSFT.US, SBSW.K, 2840.HK, TME, GDX, GDXJ.US, YUMC.K, Z.O, IMPUY & ANGPY