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Allan Gray Equity Fund  |  South African-Equity-General
611.0081    -0.0844    (-0.014%)
NAV price (ZAR) Wed 27 Nov 2024 (change prev day)


 
Technical Details  
 

Formation Date (A)

1 Oct 1998

Fund Size (ZAR)

46 807 561 035

Domicile

South Africa

Reporting Currency

ZAR

JSE Code (A)

AGEF

ISIN (A)

ZAE000019444

Pricing

Daily

Number of unitholders

85947

ASISA Category

SA-Equity-General

Benchmark

The market value-weighted average returns of funds in the South African - Equity - General category (excluding Allan Gray funds).

Income Distributions

30/06,31/12

Income Payment

06/07,06/01

Trustee

RMB, a division of FirstRand Bank Ltd.

Management Company

Allan Gray Unit Trust Management (RF) Pty Limited

Fund Management

Duncan Artus, Jacques Plaut, Rory Kutisker-Jacobson, Tim Acker

Minimum Investment

R50 000

Minimum Top-Up

1000

Minimum Monthly

R1 000

Risk Rating

High

 
Fund Objective  
 
The Fund invests primarily in shares listed on the Johannesburg Stock Exchange (JSE). The Fund may buy foreign assets up to a maximum of 25% of the Fund, with an additional 5% allowed for African ex-SA investments. The Fund invests the bulk of its foreign allowance in equity funds managed by Orbis Investment Management Limited, our offshore investment partner. The Fund is typically fully invested in shares. Returns are likely to be volatile, especially over short- and medium-term periods.
 
Management  
 
Tim Acker

Duncan Artus (B Bus Sc (Hons), PGDA, CFA, CMT)
Duncan joined Allan Gray in 2001 as an equity analyst after completing his Honours in Business Science and post graduate diploma in Accounting at the University of Cape Town. He is a CFA charter holder and was appointed a trainee portfolio manager in January 2003. As of 1 January 2005, Duncan was promoted to the position of portfolio manager and will be managing a portion of the balanced and equity portfolios of the segregated and life clients.

Rory Kutisker-Jacobson

Jacques Plaut (BSc (Hons))
 
Fees and Costs - Class A
 
Initial Fee0.00%
Advisor Initial Feen/a
Annual Management Fee1.15%
Performance Fee
Fee for performance equal to the Fund’s benchmark: 1.00% p.a. excl. VAT. For each annualised percentage point above or below the benchmark we add or deduct 0.2%.
Advisor Annual Feen/a
Trailer Fee-
Exit Fee-
TER (30/09)1.72%
TER Performance Fee0.50%
Transaction Costs Ratio0.08%
Total TER1.80%
 
Distribution - Class A
DeclaredPayAmountClassCurrency
30 Jun 20242 Jul 2024583.304AZARc
31 Dec 20233 Jan 2024366.659AZARc
30 Jun 20234 Jul 2023128.457AZARc
31 Dec 20224 Jan 2023707.312AZARc
30 Jun 20224 Jul 2022303.224AZARc
31 Dec 20214 Jan 2022448.729AZARc
30 Jun 20212 Jul 2021330.893AZARc
31 Dec 20206 Jan 2021291.398AZARc
30 Jun 20203 Jul 2020969.596AZARc
31 Dec 20196 Jan 2020416.474AZARc
 
Statutory Data
 
Management CompanyAllan Gray Unit Trust Management (RF) Pty Limited
Registration Number1998/007756/07
DirectorsR W Dower, W B Gray (Irish), A R Lapping, I S Liddle (Chairman), T J Mahuma, T Mhlambiso, K C Morolo, N M Nene
TrusteeRMB, a division of FirstRand Bank Ltd.
AuditorsErnst & Young Inc
Sponsors-
AdvisorsAllan Gray Proprietary Limited
Physical Address1 Silo Square V&A Waterfront Cape Town 8001
Postal AddressPO Box 51605 V&A Waterfront Cape Town 8002
Telephone021-415-2301
Tollfree-
Fax021-415-2492
Email[email protected]
Websitehttp://www.allangray.co.za