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| Satrix Mid Cap Index Fund Fact Sheet MDD |
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Satrix Mid Cap Index Fund Fact Sheet MDD
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| R 10.27 | ⇓ | R -.11 |
| ⇓ | -1.06% |
| High | Avg. | Low |
| R 11.39 | R 10.57 | R 9.53 |
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| Fund Sector |
| SA – Equity – General |
| Fund Maximum Annual Fee * |
0.52%-N Y or N indicate if performance fee levied or not. Advisor fee excluded. |
| Distribution Periods |
| Bi-Annually |
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| Launch Date |
| Mar 2018 |
7 years ago |
| Fund Benchmark |
| Jse Mid Cap Index |
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| Satrix Mid Cap Index Fund Unit Prices |
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The resultant of merger of Plexus and Grant Thornton was the establishment of the current manager Plexus Wealth.
DYN
DYN
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| Distributions Info (in cents) |
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| Asset Allocation Analysis |
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| Please note that unit trusts investmets are generally classified as long-term investment products not suitable for trading and speculation. |
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