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Merchant West SCI Flexible Income Fund  |  South African-Equity-Unclassified
Reg Compliant
1.0427    -0.0109    (-1.035%)
NAV price (ZAR) Tue 19 Nov 2024 (change prev day)


 
Technical Details  
 

Formation Date (A1)

15 Jan 2008

Fund Size (ZAR)

131 870 089

Domicile

South Africa

Reporting Currency

ZAR

JSE Code (A1)

GDPS

ISIN (A1)

ZAE000163358

Pricing

Daily

Number of unitholders

0

ASISA Category

SA-Equity-Unclassified

Benchmark

STeFI Call Deposit Index (SteFI)

Income Distributions

30/06,30/09,31/12

Income Payment

07/01,10/01,01/01

Trustee

0

Management Company

Sanlam Collective Investments

Fund Management

Andrew Dowse

Minimum Investment

R0

Minimum Top-Up

-

Minimum Monthly

no minimum

Risk Rating

-

 
Fund Objective  
 
The portfolio focuses predominantly on income producing assets with capital growth as a secondary objective. The investment objective of the portfolio is to provide investors with an above average after-tax return in the form of dividends and interest income.

This will be achieved by diversifying the portfolio's holding across various interest and dividend yielding assets including ordinary shares, preference shares and real estate (REIT) securities, which will result in a flexible form of income being distributed to investors.

The portfolio may also invest in assets in liquid form, non-equity securities, debentures, government, listed corporate and inflation linked bonds, and other high yielding securities....Read more
 
Management  
 
Andrew Dowse (Bcom (Hons))
Andrew joined Grindrod Asset Management in early 2013 and is currently a Portfolio Manager. Andrew has worked as a Product Development Analyst at Symmetry within the Old Mutual Group and then in the offshore hedge fund division at Maitland. Prior to joining Grindrod Asset Management, Andrew worked at Insinger de Beaufort BNP Paribas, a boutique asset manager and family wealth office. The company’s head office is in Amsterdam and the parent company BNP Paribas is based in Paris. As a member of the investment committee Andrew was responsible for global fund research, analysing all investment products including the more exotic asset classes of hedge funds and structured products. He was also responsible for much of the reporting and analysis of client portfolios including attribution reports and compliance with GIPS reporting standards. He also traded and balanced all offshore and local private client investment mandates and was actively involved in the management of the South African Fund of Funds within the firm.
 
Fees and Costs - Class A1
 
Initial Fee3.00%
Advisor Initial Feen/a
Annual Management Fee0.86%
Performance Fee-
Advisor Annual Feen/a
Trailer Fee-
Exit Fee-
TER (30/06)0.96%
TER Performance Fee0.00%
Transaction Costs Ratio0.10%
Total TER1.06%
 
Distribution - Class A1
DeclaredPayAmountClassCurrency
30 Sep 20241 Oct 20244.633A1ZARc
30 Jun 20241 Jul 20243.910A1ZARc
31 Mar 20242 Apr 20240.584A1ZARc
31 Dec 20232 Jan 20241.847A1ZARc
30 Sep 20232 Oct 20232.731A1ZARc
30 Jun 20233 Jul 20233.031A1ZARc
31 Mar 20233 Apr 20231.379A1ZARc
31 Dec 20223 Jan 20231.322A1ZARc
30 Sep 20223 Oct 20221.835A1ZARc
30 Jun 20221 Jul 20221.726A1ZARc
 
Statutory Data
 
Management CompanySanlam Collective Investments
Registration Number1967/002865/07
Directors-
Trustee-
AuditorsErnst & Young Inc. and KPMG Inc.
Sponsors-
Advisors-
Physical AddressSanlam Head Office 2 Strand Road Bellville 7530
Postal AddressPO Box 1 Sanlamhof 7532
Telephone021-947-9111
Tollfree-
Fax021-947-9111
Email-
Websitehttp://https://www.sanlam.co.za