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1.1725
+0.0009
(+0.077%)
NAV price (ZAR) Tue 19 Nov 2024 (change prev day)
Fund Performance
Period Return %Growth of R1 000 |
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* Not annualised |
Period Return %Growth of R1 000 |
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* Not annualised |
Key Facts and Fund Objective
Key Facts |
Formation Date | 17 Sep 2019 |
Fund Size (ZAR) | 179 041 773 |
Latest Price | 117.25 |
PlexCrowns | |
Total Expense Ratio (30/06) | 1.09% |
Minimum Investment | - |
TTM Distribution Yield | 6.78% |
Key Facts |
Formation Date | 17 Sep 2019 |
Fund Size (ZAR) | 179 041 773 |
Latest Price | 117.25 |
PlexCrowns | |
Total Expense Ratio (30/06) | 1.09% |
Minimum Investment | - |
TTM Distribution Yield | 6.78% |
Fund Objective |
Investments, apart from cash and assets in liquid form, mainly consist of listed and unlisted participatory interest in Collective Investment Schemes which allows the inclusion of listed and unlisted financial instruments (derivatives). The asset allocation will be actively managed to reflect the investment manager's view of the relative attractiveness of cash, bonds, equities (preference and ordinary) and property markets. The equity component will not exceed 10% in the normal running of the fund. The portfolio will comply with regulations governing retirement funding.
The portfolio may be constructed with multiple region global multi asset funds according to an amalgamated house view for conservative to cautious investors....Read more
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Fund Objective |
Investments, apart from cash and assets in liquid form, mainly consist of listed and unlisted participatory interest in Collective Investment Schemes which allows the inclusion of listed and unlisted financial instruments (derivatives). The asset allocation will be actively managed to reflect the investment manager's view of the relative attractiveness of cash, bonds, equities (preference and ordinary) and property markets. The equity component will not exceed 10% in the normal running of the fund. The portfolio will comply with regulations governing retirement funding.
The portfolio may be constructed with multiple region global multi asset funds according to an amalgamated house view for conservative to cautious investors.
The Trustees shall ensure that the investment policy set out in the preceding clauses are adhere to; provided that nothing contained in this clause preclude the Manager from varying the proportions of securities in terms of changing economic factors or market conditions or from retaining cash in the portfolio and/or placing cash on deposit.
For the purpose of this portfolio, the manager shall reserve the right to close the portfolio to new investors on a date determined by the manager. This will be done in order to be able to manage the portfolio in accordance with its mandate. The manager may, once a portfolio has been closed, open that portfolio again to new investors on a date determined by the manager.
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Fund Objective |
Investments, apart from cash and assets in liquid form, mainly consist of listed and unlisted participatory interest in Collective Investment Schemes which allows the inclusion of listed and unlisted financial instruments (derivatives). The asset allocation will be actively managed to reflect the investment manager's view of the relative attractiveness of cash, bonds, equities (preference and ordinary) and property markets. The equity component will not exceed 10% in the normal running of the fund. The portfolio will comply with regulations governing retirement funding.
The portfolio may be constructed with multiple region global multi asset funds according to an amalgamated house view for conservative to cautious investors....Read more
|
|
Fund Objective |
Investments, apart from cash and assets in liquid form, mainly consist of listed and unlisted participatory interest in Collective Investment Schemes which allows the inclusion of listed and unlisted financial instruments (derivatives). The asset allocation will be actively managed to reflect the investment manager's view of the relative attractiveness of cash, bonds, equities (preference and ordinary) and property markets. The equity component will not exceed 10% in the normal running of the fund. The portfolio will comply with regulations governing retirement funding.
The portfolio may be constructed with multiple region global multi asset funds according to an amalgamated house view for conservative to cautious investors.
The Trustees shall ensure that the investment policy set out in the preceding clauses are adhere to; provided that nothing contained in this clause preclude the Manager from varying the proportions of securities in terms of changing economic factors or market conditions or from retaining cash in the portfolio and/or placing cash on deposit.
For the purpose of this portfolio, the manager shall reserve the right to close the portfolio to new investors on a date determined by the manager. This will be done in order to be able to manage the portfolio in accordance with its mandate. The manager may, once a portfolio has been closed, open that portfolio again to new investors on a date determined by the manager.
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