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-2.94  /  -2.15%

136.86

NAV on 2020/02/24
NAV on 2020/02/21 139.8
52 week high on 2020/02/20 140.87
52 week low on 2019/02/25 107.01
Total Expense Ratio on 2019/09/30 1.47
Total Expense Ratio (performance fee) on 2019/09/30 0
NAV Incl Dividends
1 month change 6.87% 6.87%
3 month change 15.75% 15.75%
6 month change 23.46% 23.75%
1 year change 27.89% 28.88%
5 year change 0% 0%
10 year change 0% 0%
Price data is updated once a day.
  • Sectoral allocations
Basic Materials 6.12 6.25%
Financials 17.66 18.01%
Industrials 6.78 6.92%
Liquid Assets 5.40 5.51%
Technology 12.67 12.92%
Offshore 49.40 50.39%
  • Top five holdings
 NASPERS-N 10.62 10.83%
 CARTRACK 6.78 6.92%
ALIBABA 6.20 6.32%
 STOR-AGE 5.61 5.72%
AMAZON.COM 5.30 5.4%
  • Performance against peers
  • Fund data  
Management company:
Boutique Collective Investments (RF) (Pty) Ltd.
Formation date:
2016/09/22
ISIN code:
ZAE000223657
Short name:
U-RCIFLEX
Risk:
Medium - High
Sector:
Worldwide--Multi Asset--Flexible
Benchmark:
CPI + 5%
Contact details

Email
clientservices@bcis.co.za

Website
http://www.bcis.co.za

Telephone
021-007-1500

  • Fund management  
Eric Lappeman


  • Fund manager's comment
No fund manager's comment available.
  • Fund focus and objective  
Subject to a minimum equity exposure of 40% and the portfolio predominately being invested in South Africa, the manager shall have the maximum flexibility to vary assets between the various markets, asset classes and countries to reflect the changing economic and market conditions. The portfolio will include, amongst others, quality equity securities with high long term earnings growth potential. The portfolio may invest in global and local equity securities, interest bearing securities, property shares, property related securities, preference shares, money market instruments, non-equity securities and assets in liquid form. The portfolio may include participatory interests and other forms of participation in portfolios of collective investment schemes or other similar schemes operated in territories with a regulatory environment which is to the satisfaction of the manager and trustee of a sufficient standard to provide investor protection at least equivalent to that in South Africa and which is consistent with the portfolio's primary objective.
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