OVERVIEW

Gradidge-Mahura Ci Worldwide Flexible Fund

31 July 2025

INFORMATION DISCLOSURE

Fund Size

R 118.2 million

Risk Profile

High

ASISA Classification

Worldwide - Multi Asset - Flexible

Benchmark

SA CPI for all urban areas +6% over any rolling 10 year period

Total Expense Ratio

1.27%

Transaction Cost

0.10%

Total Investment Charge

1.37%

Calculation Period

Estimate

Foreign Exposure

Up to 100%

Equity Exposure

Up to 100%

ABOUT

Investment Objective

The objective of this portfolio is to deliver long term capital growth by investing in local and global equity securities and non-equity securities. The portfolio maintains a high-risk profile and shall have the maximum flexibility to vary assets between various markets, asset classes, such as assets in liquid form, money market, fixed interest, equity and property, and countries to reflect the changing economic and market conditions. The portfolio does not adhere to the guidelines set by Regulation 28. The Fund may from time to time invest in listed and unlisted derivatives, in order to achieve the portfolio's investment objective.

Characteristics

This is a worldwide multi-asset flexible portfolio which means that it may invest in a spectrum of equity, bond, property and money market and tends to have an increased probability of short term volatility and aims to maximise long term capital growth. The portfolio may have a maximum equity exposure of up to 100% and is fully flexible as to whether to invest offshore or locally. This portfolio may, at the discretion of the portfolio manager, invest up to 100% of the assets outside of South Africa.

Risk Reward Profile

Typically, the lower the risk, the lower the potential return and the higher the risk, the higher the potential return. There is no guarantee that returns will be higher when investing in a portfolio with a higher risk profile. The risk profile for this portfolio is rated as high, as it may invest up to 100% in equity securities, both locally and abroad.

ASSET ALLOCATION

UNDERLYING HOLDINGS

  • 36ONE BCI Flexible Opportunity Fund

    19.19%

  • Ci Global ICAV - Global Managed Fund A USD

    18.31%

  • Direct Equity (Hedged)

    10.30%

  • iShares Edge MSCI World Quality Factor UCITS ETF

    9.02%

  • iShares Core S&P 500 ETF

    6.13%

  • Gradidge-Mahura Ci Global Managed Feeder Fund

    5.49%

  • BCI Artisan Global Value Feeder Fund

    5.37%

  • iShares MSCI World ETF

    5.33%

  • Amplify SCI Strategic Income Fund

    4.91%

  • Vanguard S&P 500 ETF

    4.57%

  • iShares Core MSCI EAFE ETF

    3.99%

  • iShares Core MSCI Emerging Markets ETF

    2.93%

  • SA Cash

    2.84%

  • iShares US Treasury 0-1YR UCITS ETF

    1.41%

  • Global Cash

    0.21%

ANNUALISED PERFORMANCE

No performance figures are provided as the fund has been in existence for less than a year.

TOP 10 EQUITY EXPOSURES

  • 1. Microsoft

    2.47%

  • 2. NVIDIA

    2.11%

  • 3. Apple

    1.71%

  • 4. Meta Platforms

    1.51%

  • 5. ABSA Group

    1.11%

  • 6. Visa

    1.02%

  • 7. Amazon

    1.01%

  • 8. Alphabet Inc Class A

    0.91%

  • 9. Alphabet Inc Class C

    0.68%

  • 10. Tencent Holdings

    0.62%

Top 10 equity exposures are one month lagged.

PORTFOLIO MANAGEMENT

Management Company

The portfolios are hosted and administered by Ci Collective Investments (RF) (Pty) Ltd ("Ci"). Ci is owned by a number of like-minded boutique multi-managers and managed by a team of experts, each with significant experience in the collective investments industry. Ci is approved by the FSCA as a manager in terms of the Collective Investment Schemes Control Act.

ADDITIONAL INFORMATION

Launch Date

03 February 2025

Opening Nav Price

100.00 cents per unit

Fund Size

R 118.2 million

Initial Fee

0.00%

Initial Advisory Fee Maximum

Maximum 3.45% (Incl. VAT)

Annual Service Fee

Class A: 0.920% (Incl.VAT)

Annual Advisory Fee Maximum

Maximum 1.15% (Incl. VAT)

Total Expense Ratio

1.27%

Transaction Cost

0.10%

Total Investment Charge

1.37%

Calculation Period

Estimate

Income Declaration Dates

30 June & 31 December

Last 12 Month Distributions

n/a

Income Reinvestment / Payout Dates

2nd working day in July & January

Transaction cut-off time

14:00

Valuation Time

17:00

Frequency of pricing

Our daily NAV prices are published on our website and in the national newspaper

ASISA Classification

Worldwide - Multi Asset - Flexible