SIP Sanlam Multi-Strategy Founder Fund

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Performance History31/07/2024
Growth of 1,000 (GBP) Advanced Graph
SIP Sanlam Multi-Strategy Founder Fund
Fund6.46.7-13.25.76.1
+/-Sector-----
 
Key Stats
NAV
14/08/2024
 GBP 1.22
Day Change 0.08%
ABI Sector Unclassified (Pen)
ISIN -
Fund Size (Mil)
14/08/2024
 GBP 268.25
Share Class Size (Mil)
14/08/2024
 GBP 97.03
Stakeholder No
Investment Objective: SIP Sanlam Multi-Strategy Founder Fund
The investment objective of the Fund is to seek to outperform the UK Consumer Price Index (“CPI”) over five-year periods with a target of generating a positive absolute return on a rolling three-year basis. There is no guarantee that this target will be achieved.
Returns
Trailing Returns (GBP)14/08/2024
YTD5.54
3 Years Annualised-0.59
5 Years Annualised2.72
10 Years Annualised-
12 Month Yield -
Management
Manager Name
Start Date
Mike Pinggera
31/01/2013
Johan Badenhorst
31/01/2013
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Inception Date
09/08/2017
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Category Benchmark
Fund BenchmarkMorningstar Benchmark
UK CPIMorningstar UK Cau Tgt Alloc NR GBP
Target Market
Role In Portfolio
Standalone / CoreNot Specific
ComponentNot Specific
OtherNot Specific
Primary Objective
PreservationNot Specific
GrowthYes
IncomeYes
HedgingNot Specific
OtherNot Specific
Portfolio Profile for  SIP Sanlam Multi-Strategy Founder Fund31/07/2024
Morningstar Style Box®
Equity Style
Morningstar Style Box®
Fixed Income Style
Asset Allocation
  % Long% Short% Net Assets
Stock12.610.2112.41
Bond64.340.0164.33
Property0.000.000.00
Cash3.850.003.85
Other9.750.009.75
Fixed Income
Effective Maturity-
Effective Duration-
Top 5 Regions%
United States24.54
United Kingdom19.31
Eurozone17.96
Latin America11.18
Asia - Developed10.39
Top 5 Sectors%
Utilities55.85
Real Estate22.90
Industrials10.15
Basic Materials8.69
Financial Services2.42
Top 5 HoldingsSector%
United States Treasury Notes 0.1... 5.01
United States Treasury Bonds 3.9... 4.66
UBS Group AG 7%3.97
Weir Group PLC 6.875%3.84
Vodafone Group PLC 4.875%3.73
SIP Sanlam Multi-Strategy Founder Fund

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Fund prices are updated every weekday after the close of trading and before 11pm wherever possible. Performance figures are presented in British Sterling (GBP). Fund returns are based upon NAV to NAV or Bid to Bid on an income reinvested basis. UK-domiciled funds report after-tax dividends. Non-UK-domiciled funds report gross dividends. Pension funds report after-tax returns.
In order to provide consistency across the report data provided by different Asset Managers, the calculated data points presented are generated using Morningstar’s proprietary calculation methodology which is set out in more detail at(https://www.morningstar.com/research/signature)
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