multi-manager portfolios · total portfolio 100.00% jse assa all bond one- to three-year index...

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Multi-Manager Portfolios Momentum Multi-Managed Fixed Income Portfolio January 2021 Investment strategy Investment portfolio mandate The underlying investments of this portfolio are actively-managed and allocated to local, income-generating investments, including cash, short-term, high-quality capital market instruments, listed property, fixed- and variable-rate interestbearing instruments and derivatives. A number of strategies are used to generate returns, including duration management, yield enhancements via credit exposure, as well as other risk management strategies. The portfolio is aimed at maximising income and outperforming the South African cash and short-term bond market through a full interest rate cycle. The portfolio is further aimed at providing capital growth over the medium to long term as well as capital preservation over the shorter term. Benchmark allocation Asset Class Allocation Benchmark Total portfolio 100.00% FTSE/JSE All Bond One- to Three-year Index Investment returns One Month Three Months One Year Three Years Five Years Since Inception Portfolio 0.62% 2.68% 7.32% 8.35% 8.84% 8.31% Benchmark 0.17% 0.33% 10.65% 9.06% 9.21% 7.75% Risk analysis (Calculation based on five-year period) Portfolio Benchmark Volatility 1.1% 2.3% Maximum drawdown -1.0% -0.5% Worst month -1.0% -0.5% Best month 1.5% 4.1% Cumulative investment returns for five years Portfolio Benchmark The asset management fees exclude performance fees where applicable, as well as investment-management fees recovered by the underlying investment managers within the portfolio. Comments Investment portfolio information Inception Date Investment Horizon Risk Profile May 2012 Short to medium term Asset Management Fee 1.00% p.a. One Month One Year Weighting Local Investment managers Momentum Asset Management 0.62% 7.32% 100.0% Total 100% Investment manager allocation and returns

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Page 1: Multi-Manager Portfolios · Total portfolio 100.00% JSE ASSA All Bond One- to Three-year Index Investment returns One Month Three Months One Year Three Years Five Years Since Inception

Multi-Manager Portfolios

Momentum Multi-Managed Fixed Income Portfolio

January 2021

Investment strategy Investment portfolio mandate

The underlying investments of this portfolio are actively-managed and allocated to local, income-generating investments, including cash, short-term, high-quality capital market instruments, listed property, fixed- and variable-rate interestbearing instruments and derivatives. A number of strategies are used to generate returns, including duration management, yield enhancements via credit exposure, as well as other risk management strategies.

The portfolio is aimed at maximising income and outperforming the South African cash and short-term bond market through a full interest rate cycle. The portfolio is further aimed at providing capital growth over the medium to long term as well as capital preservation over the shorter term.

Benchmark allocation

Asset Class Allocation BenchmarkTotal portfolio 100.00% FTSE/JSE All Bond One- to Three-year Index

Investment returns

One Month

Three Months

OneYear

Three Years

Five Years

Since Inception

Portfolio 0.62% 2.68% 7.32% 8.35% 8.84% 8.31%Benchmark 0.17% 0.33% 10.65% 9.06% 9.21% 7.75%

Risk analysis

(Calculation based on five-year period) Portfolio Benchmark Volatility 1.1% 2.3%Maximum drawdown -1.0% -0.5%Worst month -1.0% -0.5%Best month 1.5% 4.1%

Cumulative investment returns for five yearsPortfolio Benchmark

The asset management fees exclude performance fees where applicable, as well as investment-management fees recovered by the underlying investment managers within the portfolio.

Comments

Investment portfolio informationInception DateInvestment Horizon

Risk Profile

May 2012Short to medium term

Asset Management Fee 1.00% p.a.

One Month One Year WeightingLocal Investment managersMomentum Asset Management 0.62% 7.32% 100.0%Total 100%

Investment manager allocation and returns