This fund is suited to investors seeking a combination of long-term above inflation capital and income growth, able to endure market volatility; seeking a fund where the core is managed by a combination of leading South African property asset managers on a segregated managed basis, and seeking an investment of three years and longer.
Investment objectives and strategy
The portfolio invests in assets in liquid form, JSE listed property shares, collective investment schemes, listed and unlisted financial instruments, and may invest in offshore investments. Property investments are volatile by nature and are susceptible to changes in general market conditions and volatility, as well as economic, political and company specific risks. This fund is also exposed to foreign investment funds and is thereby susceptible to currency risk and potential macroeconomic and political risks brought about by funds invested across various regions.
Changes to the fund
Proposed amalgamation of the Ashburton Multi Manager Funds with the FNB Multi Manager Funds
Our business has taken a decision to merge funds in the Ashburton Multi Manager Fund range with the FNB Multi Manager Funds. There is a ballot process currently underway and we would like to encourage all investors in these funds to participate.
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||South African rand
||Moderate to high
Annualised performance since 2007:
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