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Corporate Governance

CorVal is committed to maintaining a strong corporate governance framework in everything we do.

In support of this, CorVal:

  • holds an Australian Financial Services License (No 326118) as issued by the Australian Securities and Investment Commission (ASIC);
  • has an Independent Board Chairman, Kevin Neville;
  • has an independent Compliance Committee, with a majority of external members;
  • subscribes to an independent service provider, Complispace, to provide a comprehensive on-line compliance system to assist with ensuring all compliance plan related tasks for the funds and our business are being adhered to;
  • has an external custodian, Trust Company Limited, to hold title over fund assets; and
  • ensures all fund accounts are independently audited by an external audit firm.

Further, at an operational level, we operate our business with a focus upon avoiding wherever possible any potential conflicts of interest or related party transactions.

Investor Complaints

CorVal is also a member of the Financial Industry Complaints Service (FICS). If investors are not satisfied with the response to their complaints, they can:

  • telephone FICS on 1300 78 08 08;
  • write to them at PO Box 579, Collins Street West, Melbourne, Victoria 8007; or
  • email them at info@fos.org.au

Privacy

In undertaking our business, CorVal collects, stores and discloses a wide variety of information from various agencies. Some of this information is "personal information" within the meaning of the Privacy Act (1988) (Cwlth), which is information about and which identifies individuals.

CorVal values your privacy and abides by the National Privacy Principles set out in the Act.

Further details with respect to our approach to privacy are detailed in the Privacy section of our website.