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Matrix Sanlam Collective Investment Bond Fund B6 (0P0000JZJJ)

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11.134 +0.020    +0.15%
14/11 - Closed. Currency in ZAR
Type:  Fund
Market:  South Africa
Issuer:  Sanlam Collective Investments
ISIN:  ZAE000051702 
Asset Class:  Bond
  • Morningstar Rating:
  • Total Assets: 1.91B
Sanlam Select Bond Plus Fund B6 11.134 +0.020 +0.15%

Matrix Sanlam Collective Investment Bond Fund B6 Overview

 
On this page you'll find an in-depth profile of Matrix Sanlam Collective Investment Bond Fund B6. Learn about the key management, total assets, investment strategy and contact information of 0P0000JZJJ among other information.
Category

ZAR/NAD Diversified Bond

Total Assets

1.91B

Expenses

0.48%

Inception Date

Feb 02, 2004

Investment Strategy

A pure bond fund that aims to offer both income and capital growth through awell diversified bond portfolio. This fund has no offshore exposure and aims to outperform the BEASSA All Bond Index. The fund will predominantly invest in a concentrated basket of Government and Government guaranteed fixed interest securities so as to reduce credit and liquidity risk, but may also invest in other fixed income securities not guaranteed by Government and hold money market exposure to the 4 major South African banks. The investment manager will also be allowed to invest in listed and unlisted financial instruments (derivatives) as allowed by the Act from time to time in order to achieve its investment objective.

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
Chris-Sandra Klassen - 2017 Now
Carmen Nel - 2017 Now
Mokgatla Madisha Portfolio Manager 2016 Now
Donovan Van Den Heever - 2014 Now
Lourens Pretorius - 2014 Now
Biography Lourens has 19 years experience in financial markets. He traded on the JSE gilt floor for 4 years (1994 – 1997) with Nick Fredericksz & Co before he took up a directorship position with PSG Securities, progressing to Head of Treasury for PSG Investment Bank in 2000. He established Brait’s fixed income hedge fund proposition in 2003 and was instrumental in the formation of Brait Capital Management and the Brait Multi Strategy Fund in 2006. Lourens manages Brait Capital Management and serves on its Management Committee (MANCO).
Sollie van der Linde - 2014 Now
John Bungey - 2004 2014
Melville du Plessis Portfolio Manager 2011 2014
Chris Hamman Head 2010 2011
Biography Chris is SIM's Head of Fixed Interest, and a portfolio manager for SIM Bond Plus Fund. Chris holds a MA in Economics (with distinction) from the University of the Orange Free State and an MSc in Finance (with merit) from the University of London and lectured at different universities. During his tenure at the National Treasury he also completed the Diploma in Financial Programming at the IMF Institute in Washington DC. As part of the research process at the National Treasury he interacted with a number of leading international agencies including the IMF and the World Bank in Washington DC and the Belgium Treasury. Before joining Gensec as an Investment Economist in 1999, Chris was a member of the Macroeconomic Policy Unit at the National Treasury in Pretoria. Apart from his involvement in policy formulation in general and the Budget process in particular, Chris played an active role in the development of the Government’s public debt management program which has subsequently contributed to the freeing up of resources to be spend on national priorities including housing, health and education.
Gert Steenkamp Senior Portfolio Manager 2007 2010
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