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Tower Capital Equity Prescient Fund Summary Fact Sheet
South African--Equity--General
 
Technical Overview
Formation Date: 14 Feb 2014
Holdings: 22
Original Price: n/a
Pricing System: Forward
 
Price (A1 - Class)
 
Management
Richard Bottger
 
James Faircliff
 
Ranking
Sector: South African-Equity-General
Fund Size: R1 599 634 (as at 30 Sep 2017)
Sector Rank: 158 out of 163
(lump sum over 1 years to 31 Oct 2017)
Overall Rank: 1160 out of 1184
(lump sum over 1 years to 31 Oct 2017)
R1000 invested on 31 Oct 2016 was worth R1 013.80 on 31 Oct 2017 (1.38% annual compound return)
R100 per month since 31 Oct 2016 was worth R1 218.74 on 31 Oct 2017 (2.86% annual return compounded monthly)
 
Please note that domestic fund performance figures are calculated on a NAV-NAV basis including dividends reinvested on the reinvestment date, ETFs are reinvested on the ex-div date.
   
Focus and Objective
The Tower Capital Equity Prescient Fund will seek to follow an investment policy which will secure for investors medium to long-term capital growth. In order to achieve this objective the Manager will invest in selected shares across all industry groups as well as across the range of large, mid and smaller cap shares. Investments may be thematic over time. The portfolio will predominately invest in South African markets, but is however permitted to include investments in offshore jurisdictions subject to the investment conditions determined by the Registrar from time to time.
The portfolio is permitted to invest in listed and unlisted financial instruments in line with the conditions as determined by legislation from time to time.
The portfolio may apart from assets in liquid form also include participatory interests or any other form of participation in portfolios of collective investment schemes or other similar schemes. Where the aforementioned schemes are operated in territories other than in South Africa, participatory interests or any other form of participation in these schemes will be included in the portfolio only where the regulatory environment is to the satisfaction of the manager and trustee and is of a sufficient standard to provide investor protection at least equivalent to that in South Africa.
Nothing in the supplemental deed shall preclude the manager from varying the ratios of securities, to maximise capital growth and investment potential in changing economic environments or market conditions or to meet the requirements, if applicable, of any exchange formally recognised in terms of legislation and from retaining cash or placing cash on deposit in terms of the Deed and any Supplemental Deeds thereto; provided that the manager shall ensure that the aggregate value of the assets comprising the portfolio shall consist of securities of the aggregate value required from time to time by the Act.
The Trustee shall ensure that the investment policy set out in this supplemental deed, the Deed and in all Supplemental Deeds thereto is carried out.
For the purpose of this portfolio, the manager in consultation with the Investment Manager, shall reserve the right to close the portfolio to new investors on a date determined by the manager. This will be done in order to be able to manage the portfolio in accordance with its mandate. The manager may, once a portfolio has been closed, open that portfolio again to new investors on a date determined by the manager.
 
Latest Fund Manager Comment / News
To provide medium to long-term capital growth. Target returns 15-20% over a market cycle. ...more
 
News Archive
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Top Holdings on 30 Sep 2017
Share No Units Value (Rm) % of Fund
PPC 27 500 0.17 10.71%
NASPERS-N 55 0.16 10.05%
CAPITEC 160 0.14 8.58%
FIRSTRANDB-P 1 640 0.13 7.87%
ALTRON 10 033 0.13 7.84%
Totals   0.72 45.05%
 
Comparative Performance
 
Portfolio Structure as at 30 Sep 2017
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Dividend Data
Click here for Dividend History for this fund.
 
Fees and Charges
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Sectoral Information
Click here for Sectoral Information for this fund.
 


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