OVERVIEW

APS Ci Global Flexible Feeder Fund
March 2024

INFORMATION
DISCLOSURE

Calculation Period
1 Jan 2021 to 31 Dec 2023
Benchmark
Morningstar EAA USD Flexible allocation (ZAR)
ASISA Classification
Global – Multi Asset – Flexible
Total Investment Charge
1.68%
Foreign Exposure
The portfolio will maintain an exposure of at least 80% in foreign assets
Risk Profile
High
Transaction Cost
0.01%
Fund Size
R 855.8 million
Total Expense Ratio
1.67%
Equity Exposure
May have an equity exposure of up to 100%

About

Investment Objective
The objective of this portfolio is to provide capital growth over a rolling three to five year period by providing investors with exposure to a single international collective investment scheme portfolio comprising a diversified mix of global exposure to various asset classes. The APS Global Flexible Fund, the target portfolio, will not be restricted in its asset allocation and will not focus on any specific geographical area, industry or sector. The Fund may invest in derivatives for the exclusive purpose of hedging exchange rate risk to which assets are directly exposed.
Characteristics
The fund invests in a portfolio of funds aimed at outperforming the Morningstar EAA USD Flexible allocation (ZAR) over the long term. The fund is suitable for investors who are prepared to accept a high level of volatility in seeking long term growth. Investors in this fund should be willing to accept a higher calculated risk. A feeder fund is a portfolio that invests in a single portfolio of a collective investment scheme, which levies its own charges, which could result in a higher fee structure for the feeder fund.
Risk Reward Profile
Typically, the lower the risk, the lower the potential return and the higher the risk, the higher the potential return. There is no guarantee that returns will be higher when investing in a portfolio with a higher risk profile. The risk profile for this portfolio is rated as high, as it may invest up to 100% in equity securities, both locally and abroad.

ASSET
ALLOCATION

Global Equity
57.89%
Global Bonds
30.83%
Global Cash
8.11%
SA Cash
1.89%
Global Property
1.27%
SA Equity
0.01%

UNDERLYING
HOLDINGS

APS Global Flexible Fund
98.10%
SA Cash
1.90%

ANNUALISED
PERFORMANCE

Highest 1 year rolling return
27.77%
Lowest 1 year rolling return
-8.38%
* Benchmark: Morningstar EAA USD Flexible allocation (ZAR)
* ASISA: Global – Multi Asset – Flexible

TOP 10 EQUITY
EXPOSURES

1. NVIDIA
2.73%
2. Microsoft
2.53%
3. Apple
1.68%
4. Alphabet
1.41%
5. TJX Companies
1.36%
6. Moody's Corporation
1.33%
7. Meta Platforms
1.28%
8. Starbucks Corporation
1.11%
9. Hermes International SA
1.10%
10. L'Oreal SA
1.07%
Top 10 equity exposures are one month lagged.

PORTFOLIO
MANAGEMENT

Portfolio Managers
APS Asset Management (“APS”) is an association of independent financial advisors who specialise in wealth and portfolio management. Each associate is approved as an authorised financial services provider by the Financial Sector Conduct Authority and has been specifically invited to become an associate by the APS board on the basis of the associates' years of experience in the industry, expertise and reputation in the financial services industry. APS is an authorised financial services provider (FSP No. 1722).
Management Company
The portfolios are hosted and administered by Ci Collective Investments (RF) (Pty) Ltd (“Ci”). Ci is owned by a number of like-minded boutique multi-managers and managed by a team of experts, each with significant experience in the collective investments industry. Ci is approved by the FSCA as a manager in terms of the Collective Investment Schemes Control Act.

ADDITIONAL
INFORMATION

Launch Date
1 July 2016
Opening Nav Price
100.00 cents per unit
Fund Size
R 855.8 million
Initial Fee
Class B: 0%
Initial Advisory Fee Maximum
Max 3.45% (Incl. VAT)
Annual Service Fee
Class B: 0.173%
Annual Advisory Fee Maximum
Max 1.15% (Incl. VAT)
Total Expense Ratio
1.67%
Transaction Cost
0.01%
Total Investment Charge
1.68%
Calculation Period
1 Jan 2021 to 31 Dec 2023
Income Declaration Dates
30 June & 31 December
Last 12 Month Distributions
30/06/2023: (B) 0.00
Income Reinvestment / Payout Dates
2nd working day in July and January
Transaction cut-off time
14:00
Valuation Time
17:00
Frequency of pricing
Our daily NAV prices are published on our website
ASISA Classification
Global – Multi Asset – Flexible
Download PDF