About the Manager and Strategy

RISK
35-70

Our Core portfolio range utilizes only Exchange Traded Funds (ETFs) in its portfolio construction.

The Core USD Portfolio is a moderate to high risk, global, equity portfolio. The objective of this portfolio is to achieve capital appreciation by following a quantitative medium to long term equity strategy investing primarily in foreign markets.

See more about Emperor Asset Management’s investment philosophy and methodology here

Suitable For

  • You are looking for high capital growth over the long term. in a diversified portfolio.
  • You are comfortable taking on significant risk through market fluctuations which could result in capital loss.
  • You are ideally investing for at least 5 years.
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Bundle Information

RA Investable NO
Launch Date 2018/08/01
Benchmark S&P 500 Index
Minimum Time Horizon 5 Years
RA ZAR TFSA USD

Percentage and Performance

Costs

Management/Bundle Fee 0.75%
TER 0.85%
Estimated TC 0.10%
Estimated TIC 0.95%

Performance

* Performance quoted excludes management / bundle fee's
Aug 2026 0.71%
Last 3 Months 24.30%
Last 6 Months 18.04%
YTD 18.04%
Last 12 Months 30.30%
Last 3 Years 23.23%
Last 5 Years 12.53%
Since Inception N/A

Bundle NAV

Asset Allocation

Bonds 0%
Property 0%
Cash 0%
Local Equity 0%
Foreign Equity 100%

Constituents

Here is a list of companies/ETFs that make up this bundle.

INVESCO QQQ TRUST SERIES 1
ISHARES EDGE MSCI USA MOMENT
VANGUARD S&P 500 ETF