About the Discovery Moderate Dynamic Asset Optimiser FOF

The Discovery Moderate Dynamic Asset Optimiser Fund of Funds aims to achieve medium to longer term out performance of inflation. The Portfolio will invest within a moderate risk profile (inline with the South African Multi-Asset Medium Equity sector)targeting investors who seek capital preservation and income. The investment objective of the Portfolio will be achieved by investing in collective investment schemes in accordance with the Act.The Portfolio willuse a quantitative investment strategy to select the underlying portfolios. The allocation of investments to be included in the Discovery Moderate Dynamic Asset Optimiser Fund of Funds will be apprpriateforretirementfunds.The portfolio will conform to legislation governing retirement portfolios (Regulation 28 of the Pension Funds Act) and is thus suitable as an investment vehicle for retirement portfolios. There will be maximum effective equity exposure (including international equity)of up to 60% of the market value of the portfolio.

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Bundle Information

Fund Classification South African Multi-Asset Medium Equity
Benchmark ASISA Sector Average
Fund/lnception Date Jan 1, 1970
JSETicker DMDAOF
Risk Profile Medium/High
Unit Trust Name Discovery Moderate Dynamic Asset Optimiser FOF
Income Distribution Semi-annually (June and December)

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 6 259 786 456 14789

Current Prices Prices update end of day

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Percentage and Performance

Fees

Annual Manager 0.25%
Performance Fee N/A
TER 1.94%
Transaction Cost 0.13%

Performance

May 2024 0.77%
1 Month 1.53%
1 Year 10.14%
3 Months 2.52%
6 Months 10.11%
YTD 3.45%
3 Years 8.36%
5 Years 9.45%

Dividends

Last Payable Date 2020-01-03
Last Payable Amount 1.66C
Next Payable Date
Next Payable Amount
LDT

Risks

Daily Risk

3 Years Absolute Return 26.26%
3 Years Maximum Drawdown 10.83%
5 Years Absolute Return 57.00%
5 Years Maximum Drawdown 21.66%

Monthly Risk

3 Years Sharpe 0.76%
3 Years Sortino 0.32%
3 Years Standard Deviation 9.27%
5 Years Sharpe 1.40%
5 Years Sortino 0.61%
5 Years Standard Deviation 9.99%

Sector Allocation

General Equity
Income
International
Property Unit Trusts
Cash on call