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High Street Global Balanced Prescient Feeder Fund  |  Global–Multi Asset–Flexible
1.5524    +0.0267    (+1.750%)
NAV price (ZAR) Fri 25 Apr 2025 (change prev day)


 
Technical Details  
 

Formation Date (A)

20 Jan 2022

Fund Size (ZAR)

66 343 172

Domicile

South Africa

Reporting Currency

ZAR

JSE Code (A)

HIGHFA

ISIN (A)

ZAE000306932

Pricing

Daily

Number of unitholders

0

ASISA Category

Gbl-Multi Asset-Flexible

Benchmark

40% MSCI ACWI Net TR,30% Barclays Global Bond TRI,20% EPRA/NAREIT Developed Net TRI,5% USD 1 Month Fiduciary CoD,2.5% GBP 1 Month Fiduciary CoD,2.5% EUR 1 Month Fiduciary CoD

Income Distributions

31/12

Income Payment

02/01

Trustee

Nedbank

Management Company

Prescient Management Company Ltd. (PIM)

Fund Management

-

Minimum Investment

R0

Minimum Top-Up

-

Minimum Monthly

no minimum

Risk Rating

-

 
Fund Objective  
 
High Street Global Balanced Prescient Feeder Fund (the “Feeder Fund”) is a Collective Investment Scheme in Securities, Feeder Fund. The Feeder Fund will, apart from assets in liquid form, consist solely of participatory interest in the High Street Global Balanced Fund (“Underlying Fund”) domiciled in Ireland. The primary investment objective of the Fund is to provide a high level of income and potential for capital growth. In order to meet its investment objective, the Underlying Fund, which is actively managed, seeks to invest across the following asset classes namely; equities (including equity linked securities such as common stock, and preference shares), bonds (fixed and/or floating; government and/or corporate; rated and unrated (subject to a maximum of 10% of the Net Asset Value of the Underlying Fund in below investment grade bonds)), property related securities (which may include real estate investment trusts ("REITS") and equities in real estate companies), commodities (through investment in eligible exchange traded funds ("ETFs") as detailed further below) and cash and cash equivalents (including but not limited to commercial paper, certificates of deposit and treasury bills)....Read more
 
Management  
 
No management information is available for this fund.
 
Fees and Costs - Class A
 
Initial Fee0.00%
Advisor Initial Feen/a
Annual Management Fee-
Performance Fee-
Advisor Annual Feen/a
Trailer Fee-
Exit Fee-
TER (31/12)1.64%
TER Performance Fee0.00%
Transaction Costs Ratio0.01%
Total TER1.65%
 
Distribution - Class A
DeclaredPayAmountClassCurrency
31 Dec 20242 Jan 20250.000AZARc
31 Dec 20232 Jan 20240.000AZARc
 
Statutory Data
 
Management CompanyPrescient Management Company Ltd. (PIM)
Registration Number2002/022560/07
Directors-
TrusteeNedbank
AuditorsKPMG
SponsorsNedbank
AdvisorsNedbank
Physical AddressPrescient House, Westlake Business Park Otto Close Westlake 7945
Postal AddressPO Box 31142 Tokai South Africa 7966
Telephone+27-21-700-3600
Tollfree-
Fax+27-21-700-3700
Emailinfo@prescient.co.za
Websitehttp://www.prescient.co.za