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Investec Property Equity Fund

Fund Overview

Risk Profile

Low Medium High

Objective

The Investec Property Equity Fund aims to grow income and capital. The fund targets returns in excess of the FTSE/JSE SA Listed Property Index, measured over three year periods.

Investor Profile

  • Aims to maximise income yield and long-term capital growth through investments in listed property stocks.
  • Seeking exposure to the listed property sector with a strong focus on capital preservation
  • Utilising the fund as part of a diversified portfolio

Strategy

The fund maintains an exclusive focus on interest-income generating South African listed property stocks, specifically Property Unit Trusts (PUTs) and Property Loan Stocks (PLSs). The investment team utilises Investec Property Investments’ proprietary research platform to assist in the screening and selection of listed property securities. The focus is on sourcing lines of stock at attractive prices and identifying value opportunities relative to the sector in order to achieve outperformance.

Offshore Exposure

No

Inception Date

1 June 2004

Fund Code

PPFA

Fund Manager(s)

Angelique de Rauville, Vuyani Bekwa

Top 10 Holdings at 30 June 2011

Growthpoint Properties Ltd 28.73%
Redefine Properties Ltd 15.37%
Capital Property Fund Ltd 13.94%
Resilient Prop Inc Fund Ltd 5.91%
Hyprop Investments Ltd 5.09%
Vukile Property Fund Ltd 4.80%
Rebosis Property Fund Ltd 4.52%
Emira Property Fund 4.38%
Acucap Properties Ltd 4.26%
SA Corporate Real Estate Fund 2.95%
Total Holdings 89.95%

Asset Allocation at 30 June 2011

Top 10 Holdings at 31 March 2011

Growthpoint Properties Ltd 26.96%
Redefine Properties Ltd 15.95%
Capital Property Fund Ltd 15.62%
Resilient Prop Inc Fund Ltd 8.24%
Emira Property Fund 6.12%
Vukile Property Fund Ltd 4.43%
Acucap Properties Ltd 3.96%
Hyprop Investments Ltd 3.90%
Fortress Income Fund Ltd 1.89%
Premium Properties Ltd 1.69%
Total Holdings 88.76%

Asset Allocation at 31 March 2011

Top 10 Holdings at 31 December 2010

Growthpoint Properties Ltd 26.90%
Redefine Properties Ltd 20.43%
Resilient Prop Inc Fund Ltd 10.67%
Capital Property Fund Ltd 9.14%
Pangbourne Properties Ltd 7.74%
Emira Property Fund 5.84%
Vukile Property Fund Ltd 3.85%
Acucap Properties Ltd 3.72%
Premium Properties Ltd 3.07%
Fortress Income Fund Ltd 1.89%
Total Holdings 93.25%

Asset Allocation at 31 December 2010

Top 10 Holdings at 30 September 2010

Redefine Properties Ltd 23.62%
Growthpoint Properties Ltd 23.23%
Resilient Prop Inc Fund Ltd 10.92%
Capital Property Fund Ltd 9.80%
Acucap Properties Ltd 6.08%
Pangbourne Properties Ltd 6.05%
Emira Property Fund 5.25%
Premium Properties Ltd 4.39%
Vukile Property Fund Ltd 2.85%
Fortress Income Fund Ltd 2.13%
Total Holdings 94.32%

Asset Allocation at 30 September 2010

Top 10 Holdings at 30 June 2010

Redefine Properties Ltd 27.40%
Growthpoint Properties Ltd 18.07%
Resilient Prop Inc Fund Ltd 11.53%
Capital Property Fund Ltd 10.02%
Acucap Properties Ltd 6.71%
Emira Property Fund 6.23%
Pangbourne Properties Ltd 5.31%
Premium Properties Ltd 4.16%
Vukile Property Fund Ltd 2.47%
Fortress Income Fund Ltd 2.43%
Total Holdings 94.33%

Asset Allocation at 30 June 2010

Top 10 Holdings at 31 March 2010

Redefine Properties Ltd 30.66%
Growthpoint Properties Ltd 17.20%
Resilient Prop Inc Fund Ltd 11.43%
Capital Property Fund Ltd 9.90%
Acucap Properties Ltd 7.17%
Emira Property Fund 4.83%
Pangbourne Properties Ltd 4.82%
Premium Properties Ltd 4.08%
Cash Equivalents 2.33%
Octodec Investments Ltd 2.07%
Total Holdings 94.49%

Asset Allocation at 31 March 2010

 
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