About the Prescient Income Provider A2

The Fund aims to return CPI + 3% per annum through a full interest rate cycle while providing stability by aiming never to lose capital over any rolling 3 month period.

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Bundle Information

Fund Classification Income Funds
Benchmark STeFi Call 110%
Fund/lnception Date May 31, 2005
JSETicker PIPFB5
Risk Profile
Unit Trust Name Prescient Income Provider A2
Income Distribution Monthly

Pricing

  • 1M RTN
    3M RTN
    6M RTN
    1 YR RTN
    MAX RTN
  • DAILY CHANGE
  • Zoom Level
    • 1M
    • 3M
    • 6M
    • 1Y
    • MAX
Fund Size NAV TRI
R 38 171 286 950 14293 483.012675

Current Prices Prices update end of day

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Percentage and Performance

Fees

Annual Manager 0.58%
Performance Fee N/A
TER 0.61%
Transaction Cost N/A

Performance

Apr 2024 -0.08%
1 Month 0.26%
1 Year 8.88%
3 Months 0.86%
6 Months 4.55%
YTD 1.56%
3 Years 7.68%
5 Years 7.07%

Dividends

Last Payable Date 2019-09-02
Last Payable Amount 0.85C
Next Payable Date
Next Payable Amount
LDT

Risks

Daily Risk

3 Years Absolute Return 24.66%
3 Years Maximum Drawdown 1.26%
5 Years Absolute Return 40.70%
5 Years Maximum Drawdown 3.71%

Monthly Risk

3 Years Sharpe 2.91%
3 Years Sortino 1.18%
3 Years Standard Deviation 1.91%
5 Years Sharpe 2.93%
5 Years Sortino 1.03%
5 Years Standard Deviation 2.28%

Sector Allocation

Bond
Money Market
Foreign Invest
Derivatives
Preference Shares
Income
Foreign Invest
Real Estate Investment Trusts
Cash on call
For Currency