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Contrarius Global Balanced Fund - Fixed Fee Class –  |  Global--Asset Allocation--Flexible
49.9000    -4.7200    (-8.642%)
NAV price (USD) Tue 31 Mar 2026 (change prev month end)


 
Snapshot
<i><b>  Performance</b></i><hr/>This guage shows the decile position of the fund against 105 Rand-denominated Global--Asset Allocation--Flexible funds over the last three years (needle right indicates above average performance)
Performance
<i><b>  Size</b></i><hr/>This guage shows the size of the fund against all Rand-denominated retail funds (needle right indicates a large fund, needle left a small fund)
Size
<i><b>  Diversification</b></i><hr/>This guage shows the level of diversification relative to other funds in the same second-tier (asset allocation) category (needle right indicates a well-diversified fund)
Diversification
<i><b>  Risk</b></i><hr/>This guage shows the fund's level of historical risk relative to other funds in the Global--Asset Allocation--Flexible sector based on 3-year volatility (needle right indicates lower risk within the sector)
Risk

Fund Performance
Period    Return %Growth of $1 000
chart
* Not annualised
Key Facts and Fund Objective
Key Facts
Formation Date 1 Jan 2009
Fund Size ($) 143 000 000
Latest Price 49.90
PlexCrowns -
Total Expense Ratio (30/09) 1.40%
Minimum Investment-
TTM Distribution Yield -
Fund Objective
The Fund is a flexible asset allocation fund. The Fund's investment strategy is to invest in global equities and equity related securities (including REITS), cash and investment grade fixed-income government securities rated. The Fund may also use financial derivative instruments for the sole purpose of efficient portfolio management and reducing exchange rate risk and then only subject to the restrictions included in the section entitled ''Appendix III Efficient Portfolio Management'' in the Prospectus. The equities component of the Fund represents the Contrarius Group's selection of global equities and equity related securities. This component of the Fund will be exposed to all the risks and rewards of the global equities and equity related securities selected for the Fund using proprietary investment research undertaken by the Investment Manager, the Sub-Investment Manager and the Investment Advisor. In order to reduce stock market risk the Fund has the flexibility of implementing a hedging strategy and may therefore sell equity index futures to reduce stock market risk. The extent of stock market hedging will depend on the Investment Manager's and Sub-Investment Manager's view on the long-term return prospects for global equities and equity related securities. In seeking to achieve its investment objective, the Fund may vary its net exposure to global equities and equity related securities between 0% and 75%. In so doing, the Fund aims, over the long-term, to earn a return higher than an absolute return, such absolute return being US$ bank deposits. Given the longterm, contrarian, valuation-based investment philosophy, there will be times when the Fund will materially underperform its benchmark in the short-term in order to achieve its objective of long-term outperformance. Since inception and over the latest ten-year period the Fund has outperformed its Benchmark, the absolute return of US$ bank deposits. Over the latest five-year period the Fund has underperformed its Benchmark. Investors are reminded that the Fund may experience periods of underperformance in pursuit of its objective.
Asset Classes and Holdings
 RSA Equity0.00%  
 Int Equity86.50%  
 RSA Bonds0.00%  
 Int Bonds3.90%  
 RSA Real Estate0.00%  
 Int Real Estate0.00%  
 RSA Cash0.00%  
 Int Cash2.20%  
REGIONAL PORTFOLIO as at 31 Dec 2025
Holding (Region) % of Fund
All Regions All0.00%
Asia All13.00%
Europe All13.00%
Japan All0.00%
North America All74.00%
Totals100.00%