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Sanlam Investment Management Industrial Fund R (0P0000IR9P)

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291.320 -0.320    -0.11%
07:00:00 - Closed. Currency in ZAR
Type:  Fund
Market:  South Africa
Issuer:  Sanlam Collective Investments
ISIN:  ZAE000021358 
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 1.48B
Sanlam Investment Management Industrial Fund R 291.320 -0.320 -0.11%

Sanlam Investment Management Industrial Fund R Overview

 
On this page you'll find an in-depth profile of Sanlam Investment Management Industrial Fund R. Learn about the key management, total assets, investment strategy and contact information of 0P0000IR9P among other information.
Category

Sector Equity Other

Total Assets

1.48B

Expenses

1.21%

Inception Date

Aug 03, 1966

Investment Strategy

This is a pure equity, sector specific fund which aims to outperform the FTSE/JSE Industrial Index by investing in listed industrial shares. The fund may invest a maximum of 20% of its assets offshore. The focus of this fund is to invest in listed domestic and offshore companies which engage in industrial activities and display the potential to grow earnings at an above average rate.

Contact Information

Address 2 Strand Road
Bellville, Cape Town,Western Cape 7530
South Africa
Phone +27 (21) 916 1800
Fax +27 (0)21 947 8224

Top Executives

Name Title Since Until
Marlo Scholtz Portfolio Manager 2013 Now
Andrew Kingston Senior Analyst 2006 Now
Biography Andrew is a Senior Equity Analyst with broad industrial research responsibilities. Prior to joining SIM in 1999, he was an analyst and assistant portfolio manager at Stanlib.
Richard Anderson Senior Portfolio Manager 2002 2006
Biography Richard joined SIM in 2002 and is a Senior Portfolio Manager. He began his equity reseach career at UAL Merchant Bank in 1986 going on to head up research at NIB Asset Management. In 1999 he was appointed CIO of Franklin Templeton NIB Investments. Richard runs all listed property portfolios at SIM.
Lindsay Roots - 2001 2002
Erik Knoetze - 1999 2001
Johann Hugo Portfolio Manager 1997 1999
Biography Johann Hugo is currently a Senior portfolio Manager at SIM, managing Quantitative low tracking error portfolios and the Namibian Growth fund (unit trust). He has 20 years investment experience of which 12 years was spent as an equity analyst, researching the majority of the Financial and Industrial sectors. The last 8 years were spent as a portfolio manager. Johann worked for an Auditing Company for one year prior to joining the financial industry.
Schalk Theron - 1994 1997
Nel van Niekerk - 1994 1994
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