OVERVIEW

Global Preserver Fund

30 June 2025

INFORMATION DISCLOSURE

Fund Size

$ 27.0 million

Risk Profile

Moderate

Benchmark

30% MSCI World, 10% FTSE EPRA/NAREIT Global, 30% S&P Global Sovereign Bond Index, 30% ICE LIBOR 3 Months USD

Total Expense Ratio

1.98%

Calculation Period

1 Apr 2024 to 31 Mar 2025

Equity Exposure

Up to 60%

ABOUT

Investment Objective

The investment objective of the Fund is to provide long-term capital growth while preserving capital. This objective is not guaranteed. The Fund will diversify investments across various asset classes whilst investing a maximum of 60% of its Net Asset Value directly in global equity securities and/or indirectly through investment in Underlying Funds. The Fund intends to invest in transferable securities in the form of global equities, real estate investment trusts, global bonds, global equity linked securities which are listed on recognised markets. The Fund may also invest in cash and/or cash equivalents for the preservation of capital.

Characteristics

This is a global moderate allocation portfolio, which means that the portfolio may have a maximum equity exposure of up to 60% at all times. The fund will diversify investments across various asset classes providing the opportunity for long term capital growth.

Risk Reward Profile

Typically, the lower the risk, the lower the potential return and the higher the risk, the higher the potential return. There is no guarantee that returns will be higher when investing in a portfolio with a higher risk profile. The risk profile for this portfolio is rated as moderate, as it may invest up to 60% in equity securities globally.

ASSET ALLOCATION

UNDERLYING HOLDINGS

  • iShares USD Floating Rate Bond UCITS ETF

    12.11%

  • iShares USD Ultrashort Bond UCITS ETF

    11.90%

  • PIMCO GIS Low Duration Income Fund

    10.52%

  • Global Direct Equity

    9.24%

  • iShares High Yield Bond Factor ETF

    9.00%

  • iShares iBoxx $ High Yield Corporate Bond ETF

    8.99%

  • Bonds

    7.16%

  • Cash

    6.14%

  • Fundsmith Equity Fund

    6.05%

  • GQG Partners Global Equity Fund

    5.75%

  • iShares Edge MSCI World Quality Factor UCITS ETF

    5.42%

  • iShares World Equity Index Fund

    4.55%

  • Smithson Investment Trust

    3.17%

ANNUALISED PERFORMANCE

Highest 1 year rolling return

14.82%

Lowest 1 year rolling return

-16.04%

TOP 10 EQUITY EXPOSURES

  • 1. Smithson Investment Trust

    3.19%

  • 2. Microsoft

    1.69%

  • 3. Meta Platforms

    1.13%

  • 4. Visa

    1.00%

  • 5. Philip Morris International Inc

    0.81%

  • 6. Stryker Corporation

    0.81%

  • 7. NVIDIA Corporation

    0.80%

  • 8. L'Oréal

    0.71%

  • 9. Apple

    0.67%

  • 10. Novo Nordisk B

    0.61%

Top 10 equity exposures are one month lagged.

PORTFOLIO MANAGEMENT

Portfolio Managers

Dynasty Investment Management International and SIP Mauritius are the investment advisors to the fund, with Ci Global Fund Managers ICC Limited acting as the investment manager.

Management Company

The fund is a sub-fund of Ci Global Investments RIAIF ICAV, an open-ended umbrella type Irish collective asset-management vehicle with variable capital and with segregated liability between sub-funds, authorised by the Central Bank of Ireland, as a Retail Investor Alternative Investment Fund (“RIAIF”). Sanlam Asset Management (Ireland) Limited, authorised by the Central Bank of Ireland as an Alternative Investment Fund Manager (“AIFM”) is the appointed AIFM to the fund and is licensed as a Financial Services Provider in terms of Section 8 of the South African FAIS Act. This fund is Section 65 approved under the Collective Investment Schemes Control Act 45, 2002 (“CISCA”).

ADDITIONAL INFORMATION

Launch Date

27 November 2019

Opening Nav Price

$10

Fund Size

$ 27.0 million

Classification

EAA Fund USD Moderate Allocation

Domicile

Ireland

Base Currency

USD

Minimum Initial Investment

$10,000

Transaction cut-off time

16h00 (Irish time) on T-1

Valuation time

24h00 (South African time)

Frequency of pricing

Daily, on days that banks in Dublin and Guernsey are open for business

Daily Pricing publication

Daily Pricing publication

Annual fees levied against the Fund (Max % or amount comprising the TER)

Distributor Fee

0.03%

Administration Fee

0.03%

Depositary Fee

0.015%

Registrar and Transfer Agent Fee

$3,000

AIFM and IM Fee

0.14%

Investment Advisor Fee

0.40%

Performance Fees

None

Total Expense Ratio

1.98%

Fees Retail Class (%)

Initial Advice Fee

Negotiable between client & their advisor

Annual Advice Fee

Negotiated fee paid by repurchase of shares