Anchor Africa Flexible Income Fund Fact Sheet

Fund Details
Fund Sector
Regional – Multi Asset – Flexible
Assets Under Management (R m) (Mar 2019)
R87 R 4 4.5977%
Number of Accounts (Mar 2019)
13 0 0%
Fund Asset Allocations (R m)
Sector Mar 2019 Dec 2018
Equities R 0 R 0
    Local    R 0    R 0
    Foreign    R 0    R 0
Cash Instr. R 87 R 83
    Local    R 51    R 56
    Foreign    R 36    R 27
Property R 0 R 0
On FoF R 0 R 0
Fund Investment Aims, Objective and/or Universe
The Anchor BCI Africa Flexible Income Fund’s objective is to maximise income for investors by investing in mainly African interest-bearing securities.

The maximum effective equity exposure (including international equity) will be 10% and a maximum effective property exposure (including international property) of 25%.The fund’s African exposure, excluding South Africa, will always exceed 80% of the fund’s asset value.The fund may, from time to time, invest in listed and unlisted financial instruments.The manager may also include forward currency, interest rate and exchange-rate swap transactions for efficient fund management purposes.
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