Stanlib Multi Manager Flexible Property Fund Fact Sheet

Fund Details
Fund Sector
SA – Multi Asset – Flexible
Assets Under Management (R m) (Mar 2019)
R1 118 R 10 0.894%
Number of Accounts (Mar 2019)
6 950 158 2.273%
Fund Asset Allocations (R m)
Sector Mar 2019 Dec 2018
Equities R 35 R 103
    Local    R 35    R 103
    Foreign    R 0    R 0
Cash Instr. R 351 R 458
    Local    R 343    R 400
    Foreign    R 8    R 57
Property R 451 R 389
On FoF R 281 R 179
Fund Investment Aims, Objective and/or Universe
The Fund’s seeks to generate a reasonably high level of income and moderate capital growth.Given that it has around 60% exposure to listed property, with the balance exposed to fixed interest securities, it will be a more conservative Fund than a fully invested property fund.Through time, the Fund is designed to provide most of the upside of listed property with significantly less volatility.

This is a diversified income fund with a strong bias to listed property shares.It invests only in domestically listed property shares, as well as other high-yielding income producing assets such as bonds and money market instruments.The Fund has a mandated property range of 40% - 85%, although it is likely to always remain above 50%.Minimum exposure to non-equity securities is 15% of the FUND the maximum is 60%.The Fund may not have any direct foreign exposure, although indirect foreign exposure is obtained through the offshore property holdings of local listed property shares.
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