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Satrix TRACI

You are looking for money market type returns.



JSE code: STXTRA. The Satrix TRACI 3 Month ETF tracks the total return version of the Barclays Capital/Absa Capital ZAR Tradable Cash Index 3 Month (TRACI-3M), an index consisting of 3-month South African money market deposit rates (NCDs) of which the present mark-to-market value of these instruments constitute the Index level. The fund endeavours to obtain a high level of current income as is consistent with capital preservations and liquidity. Previously known as “NewFunds TRACI 3 Month Exchange Traded Fund Portfolio”.

Why Choose Satrix TRACI


You’re not ready for the volatility of the stock market, or still undecided about what to invest inLow level of risk that creates predictable investment returnsThis fund is a cost effective building block if you are doing your own asset allocationLower management fees which means more return for you

Investor Information As On 03 Dec 2024


Net Asset Value per Satrix TRACI 3 Month ETF security R 35.0396
Distributable Amount per security 0.4655
Cash Contribution per Satrix TRACI 3 Month ETF basket R 1 424 820.00
Market Capitalisation of Satrix TRACI 3 Month ETF R 249 088 730.59
Total Expense Ratio 0.35%

Index Composition


  • Money Market Assets 100.00%

Satrix TRACI Fund Performance

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The investment performance is for illustrative purposes only and is calculated by taking into account JSE closing prices. Past performance is not indicative of future performance.


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Satrix ETF performance indicator:


The graph represents price performance using JSE closing prices per Satrix security and is relevant to each Satrix ETF (product) as offered by Satrix. Performance is for illustrative purposes only and past performance is not indicative of future performance. An individual’s investment performance and the Portfolio NAV may differ from the indicators in the graph as a result of other factors such as brokerage fees, acquisition prices, portfolio costs, management fees, dividend declarations and reinvestment, and withholding taxes, where applicable.

Performance Table


31 Oct 2024 Fund * Benchmark ** CPI Inflation ***
Unannualized:
Annualized:
Since Inception 6.14% 6.28% 46.14%
Year to Date 8.18% 7.07% 3.02%
1 Year 9.38% 8.48% 2.93%
3 Years 6.91% 6.79% 5.47%
5 Years 5.98% 5.92% 4.92%
7 Years 6.27% 6.31% 4.76%
10 Years 6.4% 6.51% 4.92%
  • * Returns are calculated for lump sum investments. All dividends reinvested on ex-date.
  • ** The benchmark is a total return index.
  • *** This is based on the latest CPI numbers.

Fund Comparison Tool

The investment performance is for illustrative purposes only and is calculated by taking into account JSE closing prices. Past performance is not indicative of future performance.

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Satrix ETF performance indicator:


The graph represents price performance using JSE closing prices per Satrix security and is relevant to each Satrix ETF (product) as offered by Satrix. Performance is for illustrative purposes only and past performance is not indicative of future performance. An individual’s investment performance and the Portfolio NAV may differ from the indicators in the graph as a result of other factors such as brokerage fees, acquisition prices, portfolio costs, management fees, dividend declarations and reinvestment, and withholding taxes, where applicable.

Fund Documentation

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Effective Annual Cost



The Effective Annual Cost (EAC) is a measure which has been introduced to allow you to compare the cost you incur when you invest in different financial products. It is expressed as a percentage of your investment amount. The EAC is made up of four charges, which are added together, as shown in the table below. Some of the charges may vary, depending on your investment period. The EAC calculation assumes that an investor terminates his or her investment in the financial product at the end of the relevant periods shown in the table.


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