Technical Overview |
Formation Date: |
1 Apr 2008 |
JSE Code: |
SYGWD |
Benchmark: |
MSCI World index |
Holdings: |
1001 |
Unit Holders: |
1 |
Original Price: |
1185 |
Pricing System: |
Forward |
Minimum Lump Sum: |
R1 000 |
Minimum Monthly: |
R300 |
Risk Rating: |
Low Medium |
|
Dividend Yield |
Vertical lines represent dividends. |
 |
|
Dividend History
(last 3 years) |
11 Jul 2023 |
32.62c |
11 Jan 2023 |
22.01c |
10 Jan 2023 |
22.01c |
12 Jul 2022 |
26.70c |
11 Jan 2022 |
14.29c |
13 Jul 2021 |
26.32c |
7 Jan 2021 |
20.36c |
9 Jul 2020 |
33.57c |
16 Jan 2020 |
24.36c |
Fees |
TER (31 Dec 2020): |
0.69% |
Perf Fee TER (31 Dec 2020): |
0% |
Annual: |
0.69% |
Performance:0.00% |
|
Top Holdings on 30 Sep 2023 |
Share |
No Units |
Value (Rm) |
% of Fund |
APPLE |
234 937 |
757.79 |
4.92% |
MICROSOFT |
105 626 |
628.32 |
4.08% |
AMAZON.COM |
137 990 |
330.47 |
2.15% |
NVIDIA |
36 899 |
302.39 |
1.96% |
ALPHABETINCA |
88 699 |
218.67 |
1.42% |
Totals |
|
2 237.63 |
14.53% |
|
Asset Allocation |
 |
|
Sectoral Breakdown |
 |
|