Gryphon Flexible Fund Of Funds Fact Sheet

Fund Details
Fund Sector
SA – Multi Asset – Flexible
Assets Under Management (R m) (Mar 2019)
R26 R 2 7.6923%
Number of Accounts (Mar 2019)
133 3 2.255%
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 8 R 7
    Local    R 0    R 0
    Foreign    R 8    R 7
Property R 0 R 0
On FoF R 18 R 17
Fund Investment Aims, Objective and/or Universe
The primary objective of the fund is to generate real (after- inflation) wealth for investors at lowest possible cost, with due cognizance of risk and, in particular, secular downside risk.This is achieved by consistently producing real returns and long-term capital growth through maximum exposure to equities (the asset class of choice over the long-term to protect investors against inflation) during bull markets, while minimising exposure to equities in secular bear markets.; Premised on the philosophy that most value is added by asset allocation as opposed to stock selection; Stock selection is indexed, and asset allocation is actively and aggressively managed; Coupled with a low-cost focus, this fund aims to achieve superior investment returns through the utilisation of indexed building blocks; The fund invests in a combination of Gryphon’s All-Share Tracker Fund, Money Market Fund, Global Equity Fund as well as offshore cash and bond/property indexed products; Funds are allocated based on proprietary quantitative indicators that predict the primary bull/bear market cycles in equities and the South African Rand; Short-term volatility and secondary market cycles are generally disregarded as they are less predictable, being driven mainly by emotion (fear and greed); their effect on returns is relatively short-lived; The fund can invest up to 100% in equities; Maximum foreign exposure limits as permitted by prevailing legislation (currently 30%); Multi-asset funds are inclined to be more tax efficient
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