PSG Wealth Global Creator Feeder Fund D as at 31 August 2014 FUND INFORMATION INVESTMENT OBJECTIVE AND RISK CLASSIFICATION Manager Adriaan Pask ASISA Sector Global Equity General Minimum Investment R2000 lump sum Fund Size 1 379 106 120 Incep�on Date The PSG WEALTH GLOBAL CREATOR FEEDER FUND (the “portfolio”) is a ZAR denominated equity Feeder Fund, feeding solely into the PSG Wealth Global Creator Fund of Funds. The primary objective of the portfolio, via its holding in the underlying fund, is to maximize returns through active management of a diversified portfolio of equity based collective investment schemes established, recognized or regulated in any approved country, and assets in liquid form. ***PLEASE NOTE with effect from 1 March 2014 this fund's name has changed from PSG Konsult Global Creator Feeder Fund D to PSG Wealth Global Creator Feeder Fund D*** 03/Jun/2013 Benchmark GIFS Global Large Cap Blend Equity (ZAR) Fees and Distribu�ons Addi�onal Informa�on Distribu�on Frequency Annually Ini�al Manco Fee % 0.00 Max. Ini�al Broker Fee % (incl. VAT) 2.28 Annual Management Fee % (incl VAT) 0.46 Latest Distribu�on (cpu) 0.11 Total Expense Ra�o % (incl. VAT) * N/A Average Equity Exposure Max. Net Equity Exposure Vola�lity Target Market 95% 100% High Investors seeking longterm wealth crea�on. Investors should be comfortable with market fluctua�ons i.e. shortterm vola�lity. Reduces with �meframe of investment (min. 5 year term). Risk of Monetary Loss FEEDER FUND COMPOSITION % UNDERLYING FOF COMPOSITION PSG Wealth Global Creator FoF Domes�c Cash 99.48 0.52 100.00 Threadneedle Global Select Sanlam World Equity Tracker Investec Global Franchise Fund Nedgroup Global Equity Fund Schroders Interna�onal QEP Goldman Sachs Global Equity Offshore Cash ASSET ALLOCATION % TOP TEN EQUITY HOLDINGS % Microso� Corpora�on Nestle SA Roche Holding AG Qualcomm, Inc Novar�s AG Google Inc Class A Unilever Plc BG Group Pfizer Inc Johnson & Johnson 1.9 1.7 1.6 1.5 1.4 1.1 1.1 1.1 1.1 1.0 % 0.20 3.47 3.87 8.75 14.79 7.57 12.35 16.51 12.46 14.98 1.08 1.05 0.28 2.64 100.00 Domes�c Cash Basic Materials Communica�on Services Consumer Cyclical Consumer Defensive Healthcare Industrials Technology Energy Financial Services U�li�es Offshore Property Offshore Other Offshore Cash Total PERFORMANCE RETURNS Time Period: 03/Jun/2013 to 31/Aug/2014 As of Date: 31/Aug/2014 125.0 120.0 115.0 110.0 Return 105.0 100.0 95.0 8/2013 PSG Wealth Global Creator FF D Management Company: Website: Email: 11/2013 2/2014 122.9 5/2014 8/2014 GIFS Global LargeCap Blend Equity PSG Collec�ve Investments Limited www.psgam.co.za info@psgam.co.za 122.1 Tel: Fax: Toll Free Line: 22.5 20.0 17.5 15.0 12.5 10.0 7.5 5.0 2.5 0.0 % 16.70 16.69 16.66 16.62 16.52 16.47 0.33 100.00 21.5 20.6 18.1 19.3 4.5 1.5 6 months 1 year PSG Wealth Global Creator FF D Incep�on GIFS Global LargeCap Blend Equity +27 21 799 8000 +27 21 799 8181 0800 600 168 1st Floor PSG House, Alphen Park Constan�a Main Road Constan�a, 7806 * TER: The Total Expense Ra�o (TER) for this por�olio/class of par�cipatory interest cannot be accurately determined. The TER of this class of par�cipatory interest/por�olio will be higher than the quoted service charge of the manager. DISCLAIMER Collec�ve Investment Schemes in Securi�es (Unit trusts) are generally medium to long term investments. The value of the share / units may go down as well as up and past performance is not a guide to future performance. Collec�ve Investment Schemes are traded at ruling prices and can engage in borrowing and scrip lending. A fund of funds por�olio only invests in other Collec�ve Investment schemes, which levy their own charges, which could result in a higher fee structure for these por�olios. A schedule of fees and charges and maximum commissions is available on request from PSG Collec�ve Investments Limited. Commission and incen�ves may be paid and if so, are included in the overall costs. The por�olios may be capped at any �me in order for them to be managed in accordance with their mandate. Different classes of Par�cipatory interests (units) can apply to these por�olios and are subject to different fees and charges. Forward pricing is used. Figures quoted are from Source: © 2014 Morningstar, Inc. All Rights Reserved for a lump sum using NAVNAV prices, with income distribu�ons reinvested. PSG Collec�ve Investments Limited is a member of the Associa�on of Savings and Investments South Africa (ASISA) through its holdings company PSG Wealth Limited. All the performance data is net of fees includes income and assumes reinvestment of income on a NAV to NAV basis. Conflict of Interest Disclosure: The fund may from �me to �me invest in a fund managed by a related party. PSG Collec�ve Investments Limited or the Fund Manager may nego�ate a discount on the fees charged by the underlying Fund Manager. All discounts nego�ated are reinvested in the fund for the benefit of the unitholder. Neither PSG Collec�ve Investments Limited nor the Fund Manager retains any por�on of such discount for their own accounts. PSG Mul� Management (Pty) Ltd (FSP44306) and PSG Collec�ve Investments Limited are subsidiaries of PSG Group Limited.
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