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Ranking
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Sector:
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Global-Asset Allocation-Prudential |
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Size:
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$25 000 000 |
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Sector Rank:
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8 out of 12 |
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(lump sum over 3 years to 30 Apr 2004)
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Overall Rank:
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111 out of 243 |
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(lump sum over 3 years to 30 Apr 2004)
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| R20000 invested on 30 Apr 2001 was worth R18 883 at 30 Apr 2004 |
((1.90)% annual compound return)
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| R5000 per month since 30 Apr 2001 was worth R170 283 at 30 Apr 2004 |
((3.63)% annual return compounded monthly)
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| Please note that offshore fund performance figures are calculated from NAV prices (ie, equivalent to sell-to-sell) and therefore not directly comparable to domestic fund performance figures on this site. |
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Management
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| This fund is managerd by Investec Analytics.
With access to a rich pool of internal research personnel and an internationally based investment team, Investec Analytics injects specialist skills and processes into the management of Multi-manager funds. Their objective is to bring your clients the "best of breed" from international fund management houses. These funds are then blended to achieve superior investment returns within a pre-determined level of risk. |
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Focus and Objective
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The fund is an offshore multi-manager fund, which seeks to achieve long-term capital appreciation by investing in an actively managed and globally diversified portfolio of equity, bond and money market funds.
The fund will invest in an actively managed and globally diversified portfolio of equity, bond and money market funds. A balanced asset allocation strategy will be maintained and will be determined by the relative performance outlook for equities versus bond and money market funds. Equity fund exposure will range between 40% and 80%. Bond and money market funds exposure will normally range between 20% and 60%.
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Technical overview
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| Formation Date: |
28 Aug 2000 |
| Original Price: |
0.00 |
| Pricing System: |
Forward |
| Base Currency: |
$ |
| Domicile: |
Dublin |
| Rollup Fund: |
Yes |
| Benchmark: |
60% MSCI World index, 40% JP Morgan World Bond index |
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Top holdings (No information available)
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