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Aboutir Prime Worldwide Flexible Fund  |  Worldwide-Multi Asset-Flexible
1.2629    +0.0016    (+0.127%)
NAV price (ZAR) Thu 18 Sep 2025 (change prev day)


 
Technical Details  
 

Formation Date (R)

2 Sep 2021

Fund Size (ZAR)

151 337 020

Domicile

South Africa

Reporting Currency

ZAR

JSE Code (R)

APWWFR

ISIN (R)

ZAE000301313

Pricing

Daily

Number of unitholders

0

ASISA Category

WW-Multi Asset-Flexible

Benchmark

CPI + 3%

Income Distributions

28/02,31/08

Income Payment

05/03,05/09

Trustee

Societe Generale

Management Company

Prime Collective Investment Schemes

Fund Management

Aboutir Wealth (Pty) Ltd

Minimum Investment

R0

Minimum Top-Up

-

Minimum Monthly

no minimum

Risk Rating

Medium

 
Fund Objective  
 
The Aboutir Prime Worldwide Flexible Fund's aim is to maximise total return for investors by way of a flexible portfolio actively investing across different asset classes. The portfolio will invest in a flexible combination of equity, bond, money, or property market assets. The portfolio has complete flexibility with regards to asset allocation both between and within asset classes, countries and regions. No minimum or maximum holdings applies to South African or offshore investment in keeping with the intention to be flexible and unconstrained in executing its best investment views.
The portfolio may also include participatory interests and other forms of participation in portfolios of collective investment schemes or other similar schemes operated in territories with a regulatory environment which is to the satisfaction of the manager and the trustee and is of a sufficient standard to provide investor protection at least equivalent to that in South Africa and which is consistent with the portfolio's primary objective....Read more
 
Management  
 
Aboutir Wealth (Pty) Ltd
 
Fees and Costs - Class R
 
Initial Fee0.00%
Advisor Initial Feen/a
Annual Management Fee1.518%
Performance Fee-
Advisor Annual Feen/a
Trailer Fee-
Exit Fee-
TER (31/03)2.38%
TER Performance Fee0.55%
Transaction Costs Ratio0.17%
Total TER2.55%
 
Distribution - Class R
DeclaredPayAmountClassCurrency
31 Aug 20253 Sep 20250.000RZARc
28 Feb 20255 Mar 20250.000RZARc
31 Aug 20244 Sep 20240.000RZARc
29 Feb 20245 Mar 20240.000RZARc
31 Aug 20235 Sep 20230.000RZARc
28 Feb 20233 Mar 20230.749RZARc
31 Aug 20225 Sep 20220.336RZARc
28 Feb 20223 Mar 20220.000RZARc
 
Statutory Data
 
Management CompanyPrime Collective Investment Schemes
Registration Number-
Directors-
TrusteeSociete Generale
AuditorsGT Auditors
Sponsors-
Advisors-
Physical Address31 Twelfth Street Parkmore Sandton 2196
Postal Address31 Twelfth Street Parkmore Sandton 2196
Telephone010-594-2100
Tollfree-
Fax011-784-8251
Emailinfo@primeinvestments.co.za
Websitehttp://www.PRIMEinvestments.co.za