Profile's ShareData Online
Offshore Trusts
ManCo List
Funds by Name
Funds by Category
Word Search
FAQ
Sarasin IE Multi Asset - Dynamic (USD)
Sarasin IE Multi Asset - Dynamic (USD)
Waystone Management Company (Ireland) Ltd.
Sarasin IE Multi Asset - Dynamic (USD)
News
Regional Portfolio Structure(Semi-Annual Comparison)
Sectorial Portfolio Structure(Semi-Annual Comparison)
Price
 
Ranking
Sector: Global-Asset Allocation-Flexible
Size: (USD) 395 490 000
 
Sector Rank: 69 out of 92
(lump sum over 3 years to 31 Mar 2025)
 
Overall Rank: 314 out of 484
(lump sum over 3 years to 31 Mar 2025)
 
R20000 invested on 31 Mar 2022 was worth R25 965 at 31 Mar 2025
(9.09% annual compound return)
 
R5000 per month since 31 Mar 2022 was worth R201 095 at 31 Mar 2025
(7.09% annual return compounded monthly)
 
Please note that offshore fund performance figures are calculated from NAV prices (ie, equivalent to sell-to-sell) and therefore not directly comparable to domestic fund performance figures on this site.
 
Management
Phil Collins
 
Michael Jervis
 
Tom Kynge
 
Alastair Baker
 
Focus and Objective
The Fund seeks to achieve capital growth and income over the long-term with a lower risk profile than equity market alternatives through investment in a range of asset classes. The Fund invests globally in a combination of assets. Predominantly these are shares and company or government bonds. Shares held will satisfy Sarasin's thematic process and generally 40-80% of the Fund's assets will be invested in shares. It is not constrained by geography, sector or style but manages risk through a variety of theme characteristics. The bonds will mainly be priced in US Dollars. The Fund will not track an index. Derivatives (financial instruments whose value is linked to the expected future price movements of an underlying asset) may be used only with the aim of reducing risk or costs, or generating additional capital or income.
 
Technical Overview
Benchmark: 60% MSCI AC World Daily (NTR), 15% ICE BofA US Treasury Index, 15% ICE US Broad Credit Index, 5% SOFR, 5% SOFR +2%
Allows debit orders No Formation date: 13 Jan 1993
Base currency: USD Minimum lump sum: $3 000
Domicile Dublin Minimum monthly: $100
 
Top holdings on 31 Dec 2024
Share (Sector) Value (USD) % of fund
AAPL.US () 15 424 110 3.90%
MSFT.US () 15 424 110 3.90%
AMAZON.COM (Technology) 13 446 660 3.40%
NVIDIA (Technology) 12 655 680 3.20%
METAPLATFORMS (Technology) 9 491 760 2.40%
COMPASSGROUP (Cyclical Goods & Services) 8 305 290 2.10%
MA.US () 8 305 290 2.10%
HOMEDEPOT (Retail) 7 909 800 2.00%
ACN.US () 7 118 820 1.80%
TAIWANSEMICON (Technology) 6 723 330 1.70%
TOTALS 104 804 850 26.50%

Site Last Updated: 24 April 2025
© 1999-2006
Profile Media . All rights reserved.
JSE and the JSE logo are trade marks of the JSE.
Legal Notices | PAIA Manual