OVERVIEW

Sterling Private Client Asset Management Ci Global Flexible Feeder Fund

31 May 2026

INFORMATION DISCLOSURE

Fund Size

R 49.0 million

Risk Profile

High

ASISA Classification

Global – Multi Asset – Flexible

Benchmark

EAA Fund USD Flexible Allocation

Total Expense Ratio

1.25%

Transaction Cost

0.05%

Total Investment Charge

1.30%

Calculation Period

Estimate

Foreign Exposure

80% - 100%

Equity Exposure

Up to 100%

ABOUT

Investment Objective

The investment objective of the Feeder Fund is to provide long term capital growth, by providing investors with exposure to an international collective investment scheme portfolio comprising of a diversified mix of global exposure to various asset classes. The Sterling Wealth Global Flexible Fund, the target portfolio, will seek to diversify investments across various asset classes providing the opportunity for real capital growth, and intends to invest principally in transferable securities in the form of global equities and global equity linked securities, REITS and global bonds. The target portfolio may also invest up to 100% of its Net Asset Value in cash and/or cash equivalents, short-term money market instruments or into the units/shares of underlying funds which provide exposure to these asset classes. The target portfolio is not focused on any specific geographical area, industry or sector and may gain exposure to Emerging Markets. The Feeder Fund may invest in derivatives for the exclusive purpose of hedging exchange rate risk to which assets are directly exposed.

Characteristics

The fund invests in a global multi-asset flexible portfolio, designed to generate real capital growth. The portfolio may have a maximum equity exposure of up to 100% at all times, and is suitable for investors who are prepared to accept a high level of volatility in seeking long term growth. Investors in this fund should be willing to accept a higher calculated risk. A feeder fund is a portfolio that invests in a single portfolio of a collective investment scheme, which levies its own charge, which could result in a higher fee structure for the feeder fund.

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 fund with a higher risk profile. The risk profile for this fund is rated as high, as it intends to diversify investments across various asset classes and aim to generate real capital growth, while being able to invest up to 100% in equity securities, both locally and abroad.

ASSET ALLOCATION

UNDERLYING HOLDINGS

  • Sterling Wealth Global Flexible Fund

    99.51%

  • SA Cash

    0.46%

  • Global Cash

    0.03%

ANNUALISED PERFORMANCE

No performance figures are provided as the fund has been in existence for less than a year.

TOP 10 EQUITY EXPOSURES

  • 1. Alphabet

    1.75%

  • 2. Meta Platforms

    0.90%

  • 3. Microsoft

    0.81%

  • 4. Samsung Electronics

    0.81%

  • 5. Taiwan Semiconductor

    0.81%

  • 6. Novartis AG

    0.79%

  • 7. NVIDIA

    0.77%

  • 8. Apple

    0.72%

  • 9. Citigroup

    0.68%

  • 10. Shell

    0.53%

Top 10 equity exposures are one month lagged.

PORTFOLIO MANAGEMENT

Portfolio Managers

Sterling Private Client Asset Management (Pty) Ltd (FSP 45324)

Management Company

The portfolios are hosted and administered by Ci Collective Investments (RF) (Pty) Ltd ("Ci"). Ci is owned by a number of like-minded boutique multi-managers and managed by a team of experts, each with significant experience in the collective investments industry. Ci is approved by the FSCA as a manager in terms of the Collective Investment Schemes Control Act.

ADDITIONAL INFORMATION

Launch Date

02 February 2026

Opening Nav Price

100.00 cents per unit

Fund Size

R 49.0 million

Initial Fee

Class A: 0%, Class B: 0%

Initial Advisory Fee Maximum

Maximum 3.45%

Annual Service Fee

Class A: 0.23%, Class B: 0.17%

Annual Advisory Fee Maximum

Maximum 1.15%

Total Expense Ratio

1.25%

Transaction Cost

0.05%

Total Investment Charge

1.30%

Calculation Period

Estimate

Income Declaration Dates

30 June & 31 December

Last 12 Month Distributions

n/a

Income Reinvestment / Payout Dates

2nd working day in July & January

Transaction cut-off time

14:00

Valuation Time

17:00

Frequency of pricing

Our daily NAV prices are published on our website and in the national newspaper

ASISA Classification

Global – Multi Asset – Flexible