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1NVEST Global Government Bond Index Feeder Fund | Global–Interest Bearing–Variable Term
1.3924    -0.0115    (-0.820%)
NAV price (ZAR) Mon 29 Nov 2021 (change prev day)
Technical Details  

Formation Date (A)

14 Mar 2018

Fund Size (ZAR)

347 438 371



Reporting Currency


JSE Code (A)






Number of unitholders


ASISA Category

Gbl-Interest Bearing-Variable Term


FTSE G7 Government Bond Index

Income Distributions


Income Payment



Standard Chartered Bank, Absa Bank Limited

Management Company

STANLIB Collective Investments (RF) (Pty) Ltd

Fund Management

Ann Sebastian, Ryan Basdeo

Minimum Investment

R5 000

Minimum Top-Up


Minimum Monthly


Risk Rating


Fund Objective  
The fund is a feeder fund and as such it invests in the iShares Global Govt Bond UCITS ETF. This underlying fund tracks the Index and aims to replicate the performance of the Index. The G7 Government Bond Index includes Canada, France, Germany, Italy, Japan, the United Kingdom, and the United States. This Index covers approximately 85% of the market value of the World Government Bond Index. The Index is rebalanced monthly. The fund may also hold a small portion in cash instruments and listed derivatives to effect efficient portfolio management....Read more
Ryan Basdeo (BCom, (Taxation), MBA (Wits), Registered Security Trader)
After beginning his career as a financial accountant in the employee benefits industry, Ryan joined STANLIB Asset Management in their Institutional Pricing team in 2008. He got experience in the Offshore Trades Processing team from 2010, before moving on to Alternative Investments as market maker for the ETFs and executing trades for the index-tracking funds, as well as assistance with portfolio management. He was appointed a Portfolio Manager in 2017. Ryan has a BCom in Taxation degree, is a JSE Registered Securities Trader, as well as a Registered Bond Trader and has been awarded a MBA from Wits Business School.

Ann Sebastian (BSc (Hons), (Advanced Mathematics of Finance))
Possessing a very strong academic record and a passion for financial markets, Ann joined the Beta Quants team in 2012. As a quantitative analyst, she specialises in asset allocation, portfolio construction, investment risk management and multi-factor risk modelling. She is currently a Portfolio manager at STANLIB Index Investments responsible for the management of R 22 billion across quantitative enhanced index funds, smart beta funds, completion strategies and index tracking fund across a number of asset classes. Ann studied at Wits University, where she took a BSc in Mathematical Sciences with double majors in Pure Mathematics and Economic Sciences. She then went on to do her BSc honours degree studying Advanced Mathematics of Finance. She is currently studying towards a MSc in Statistical Science from UCT where her thesis covers "Tactical Asset Allocation with Flexible Investor Views".
Fees and Costs - Class A  
Initial Fee0.00%
Advisor Initial Feen/a
Annual Management Fee0.345%
Performance Fee-
Advisor Annual Feen/a
Trailer Fee-
Exit Fee-
TER (30/09)0.54%
TER Performance Fee0.00%
Transaction Costs Ratio0.14%
Total TER0.68%
Distribution - Class A
30 Sep 20211 Oct 20210.070AZARc
30 Jun 20211 Jul 20210.000AZARc
31 Mar 20211 Apr 20210.280AZARc
31 Dec 20204 Jan 20210.000AZARc
30 Sep 20201 Oct 20201.010AZARc
30 Jun 20201 Jul 20200.000AZARc
31 Mar 20201 Apr 20200.000AZARc
31 Dec 20192 Jan 20200.000AZARc
30 Sep 20191 Oct 20190.640AZARc
30 Jun 20191 Jul 20190.000AZARc
Statutory Data  
Management CompanySTANLIB Collective Investments (RF) (Pty) Ltd
Registration Number1969/003468/07
DirectorsN Criticos, D T V Msibi, D C Munro, J M Parrat (Secretary), T Skweyiya, J H Sutcliffe (British citizen), H Walker (British citizen)
TrusteeStandard Chartered Bank, Absa Bank Limited
AdvisorsSTANLIB Asset Management (Pty) Ltd.
Physical Address17 Melrose Boulevard Melrose Arch Melrose 2196
Postal AddressPO Box 202 Melrose Arch 2076
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