The primary investment objective of the fund is to assist investors to reach a return after fees of CPI +2% p.a. over rolling 3 year periods, through a spectrum of investments in the equity, bond, money or property markets and participatory interests in related collective investment schemes.
|Benchmark||ASISA Sector||Risk||Launch Date||Income Distribution||Regulation 28|
|ASISA Sector Median||SA Multi Asset - KiwEquity||Moderately Conservative||23 January 2014||Bi-Annual (February & August)||
|In SA||Ex SA||In Africa||Fixed Interest||Property||Equity|
|≥60%||≤30%||≤10%||≤25% including international property||
≤40% including international equity
To download a .csv file of historic factsheet select options below:
To download a .csv file of historic prices select date ranges below: