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Catalyst SCI Flexible Property Fund Summary Fact Sheet
South African--Real Estate--General
Technical Overview
Formation Date: 1 Oct 2015
Holdings: n/a
Original Price: n/a
Pricing System: Forward
Price (A - Class)
Zayd Sulaiman, BComm, CA (SA)
Catalyst Fund Managers was established in 2001 as a specialist in managing real estate investments. Real estate investment, both South African and global, is our speciality and our passion. Itís what energises us and keeps us motivated. The business was borne out of a firm belief in the distinctive benefits of including this asset class in an investment portfolio. In addition to our specialist expertise and experience, we manage our clientsí money like our own, always considering that there are individual goals, specific needs and hopes behind every investment.
Sector: South African-Real Estate-General
Fund Size: R610 808 466 (as at 31 Mar 2021)
Sector Rank: 23 out of 41
(lump sum over 1 years to 31 May 2021)
Overall Rank: 157 out of 1324
(lump sum over 1 years to 31 May 2021)
R1000 invested on 31 May 2020 was worth R1 354.78 on 31 May 2021 (35.48% annual compound return)
R100 per month since 31 May 2020 was worth R1 470.90 on 31 May 2021 (37.12% annual return compounded monthly)
Please note that domestic fund performance figures are calculated on a NAV-NAV basis including dividends reinvested on the reinvestment date, ETFs are reinvested on the ex-div date.
Focus and Objective
The fund is an actively managed fund, which has a total return objective and seeks to offer investors a return in excess of CPI + 4% over the long term. The fund will have a flexible mandate allowing investment in both local listed property securities, global listed property securities and local and offshore cash.
Latest Fund Manager Comment / News
Management Company Switched
The fund switched Management Company from Catalyst Fund Managers (Pty) Ltd. to Sanlam  ...more
News Archive
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Top Holdings on 31 Mar 2021
Share No Units Value (Rm) % of Fund
NEPIROCK 860 735 80.18 13.13%
GROWPNT 4 988 859 66.35 10.86%
RESILIENT 939 012 42.89 7.02%
FORTRESSA 2 886 699 39.37 6.45%
EQUITES 1 690 195 31.74 5.20%
Totals   260.54 42.65%
Comparative Performance
Portfolio Structure as at 31 Mar 2021
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Dividend Data
Click here for Dividend History for this fund.
Fees and Charges
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Sectoral Information
Click here for Sectoral Information for this fund.

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