Investment and Return Objective
The Fund is an actively managed global equity fund that aims to outperform the MSCI World Index in rand over time.
The Fund is fully invested in equities and is structured to minimise the risk of underperforming the benchmark by investing in a diversity of risk premia and blending those strategies to reduce relative market risk over time. The equity selection process targets those shares that offer value and is supported by positive market sentiment. The feeder fund is invested wholly in the Prescient Global Equity Fund.
Who Should Invest
Investors seeking growth and protection against rand depreciation through a benchmark aware global equity fund. This Fund is suitable for investors with a long-term investment horizon who wants to invest offshore in rand.
Risk Indicator = Moderately Aggressive
Risk Indicator Definition
These portfolios typically exhibit more volatility and potential for capital losses due to higher equity, offshore market and currency exposure. These portfolios typically target returns in the region of 5% - 6% above inflation over the long-term.