Aylett Equity Fund Fact Sheet

Fund Details
Fund Sector
SA – Equity – General
Assets Under Management (R m) (Mar 2019)
R1 500 R 283 18.866%
Number of Accounts (Mar 2019)
233 25 10.729%
Fund Asset Allocations (R m)
Sector Mar 2019 Dec 2018
Equities R 1 051 R 885
    Local    R 872    R 714
    Foreign    R 179    R 171
Cash Instr. R - R -
    Local    R -    R -
    Foreign    R 21    R 3
Property R 13 R 12
On FoF R 358 R 258
Fund Investment Aims, Objective and/or Universe
The objective of the Aylett Equity Prescient Fund is to maximise long term capital appreciation by investing in assets on behalf of clients that will preserve their purchasing power in real terms and earn a satisfactory return on that capital.The Aylett Equity Prescient Fund is required to invest a minimum of 80% of the fund in equities at all times, withoffshore asset exposure being limited to 30%.
Read Aylett Equity Fund Fact Sheet? Here are more of our unit trust fund fact sheets
Marriott Dividend Growth Fund
Noble PP All Weather Fund Of Funds
Prime Worldwide Flexible Fund
Allan Gray-Orbis Global Equity Feeder Fund
Discovery Moderate Balanced Fund
Miton Optimal Defender Fund Of Funds
Stanlib Inflation Linked Bond Fund B1
Investec Absolute Balanced Fund
Tresor Income Fund
GTC Wealth Accumulator Plus Fund
Sanlam Asia Pacific Fund Of Funds
BCI Best Blend Global Property Fund
Absa Multi Managed Accumulation Fund Of Funds
Miton Optimal High Conviction Equity Fund
Blue Quadrant Worldwide Flexible Fund
API Stable Fund Of Funds
Kanaan Balanced Fund Of Funds
Anchor Worldwide Flexible Fund
Stanlib ALBI Bond Index Tracker Fund
Nedgroup Investments Opportunity Fund
ABOUT ©2012-2020 NGCSOFT DISCLAIMER