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M&g Namibian Balanced Fund A (0P0000KOYY)

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2.775 -0.004    -0.14%
18/11 - Closed. Currency in NAD
Type:  Fund
Market:  South Africa
Issuer:  Prudential (Namibia) Unit Trusts
ISIN:  ZAE000121356 
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 1.27B
Prudential Namibian Balanced Fund A 2.775 -0.004 -0.14%

M&g Namibian Balanced Fund A Overview

 
On this page you'll find an in-depth profile of M&g Namibian Balanced Fund A. Learn about the key management, total assets, investment strategy and contact information of 0P0000KOYY among other information.
Category

ZAR/NAD Moderate Allocation

Total Assets

1.27B

Expenses

Inception Date

Aug 01, 2008

Investment Strategy

Fund Objective: The Fund aims to achieve steady growth of capital and income through global asset allocation and superior stock selection across all industry sectors. Investor profile: Those investors seeking a suitable vehicle for retirement provision and those investors wishing to tilt their portfolio to value with controlled risk exposure. Investment Mandate: The Fund aims to achieve steady growth of capital and income through investments in an actively managed, diversified combination of domestic and international assets where the asset allocation is tactically managed. The Fund is managed to comply with regulations governing retirement fund investments in Namibia.

Contact Information

Address M&G Investments (Namibia)
,
Namibia
Phone -

Top Executives

Name Title Since Until
Sandile Malinga - 2021 Now
Biography Sandile joined Prudential’s fixed interest team in November 2013. He has joint portfolio management responsibility for the Prudential High Interest and Prudential Money Market Funds, and provides analytical and econometric support to the fixed interest investment process. Sandile also has some fixed interest and derivative dealing responsibilities. Sandile spent the last six years with Investec Asset Management as a fixed interest dealer and analyst, as well as a portfolio manager on large institutional fixed interest client mandates with liability immunisation objectives and co-manager on the Investec International High Yield Fund.
Leonard Krüger - 2021 Now
Michael Moyle - 2015 Now
David Knee Head 2021 2024
Biography David joined Prudential Portfolio Managers SA, as Head of Fixed Income in January 2009. David worked at Prudential in South Africa in 1999 and 2000, and was responsible for establishing our current fixed interest process. Prior to Prudential, he was the senior fixed interest portfolio manager in the London office of M&G Investments. David joined M&G in 1997 as member of the fixed income team, specialising in UK and Global bond portfolios. Before joining M&G, David worked for Hill Samuel Asset Management as a fixed income fund manager, managing both life and pension funds for a variety of clients. David graduated from the London School of Economics with a BSc in Economics and from Birkbeck College with an MSc in Economics. He is an Associate of the Institute of Investment Management and Research.
Johny Lambridis - 2021 2021
Anthea Angermund - 2020 2021
Craig Butters - 2015 2019
Biography Craig Butters joined Prudential’s equity team in August 2010. He is a member of the investment committee responsible for equity decision-making and has joint portfolio management responsibility for the Prudential Equity Fund. Craig performs detailed research of banks and other selected financial and industrial stocks. Craig began his career as a trainee accountant at Ernst & Young and then joined Sanlam in 1994 as a senior internal auditor. In July 1997, he joined Oasis Asset Management as director and investment analyst. In 1998, Craig was an investment analyst and portfolio manager at RMB/Southern Asset Management, then in November 1999 to May 2002 he joined Prodigy Asset Management as a portfolio manager and chief investment officer. From June 2002 to July 2010, Craig was a fund manager at Brait Specialised Funds, initially as co-fund manager of the Brait Emerald Fund, and prior to joining Prudential, as fund manager of the Brait Ruby Fund and the Brait Multi-Strategy Fund.
Duncan Schwulst Portfolio Manager 2015 2018
Biography Duncan joined Prudential as a credit analyst in September 2007, from JP Morgan. Prior to this he completed his articles in Cape Town with PricewaterhouseCoopers, being seconded to the US’s Silicon Valley in 2005. Duncan has received the CA (SA) and CFA designations. He holds both a B.Bus. Sc. (Finance) degree and Post Graduate Diploma in Accounting from UCT.
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