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Investments

GCI Asset Management provides clients with the full range of Investment Mandates, from a Cash Alternative right through to a Global USD based fund. The GCI Asset Management team prides itself in its fund selection range. Detailed analysis and information on the various funds are presented below:

Additional total expense ratios document

Please click here for all portfolios’ one-year total expense ratios for the financial year ending 30 June 2016, which will be added to each of the MDDs from 1 March 2017.

  • The GCI MET Income Fund is a domestically focussed multi-managed income portfolio which aims to provide a level of income that outperforms inflation +1%, combined with capital preservation. The portfolio is suited to investors who require a regular, reliable source of income while being prepared to take some risk in exchange for capital gains. The portfolio complies with prudential investment guidelines.

    ASISA Category: South African – Multi Asset – Income

    Risk Profile: Conservative

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  • The GCI MET Stable Fund of Funds is a domestically focussed managed fund of funds which aims to provide the investor above average performance, with real and stable capital growth. The portfolio is suited to investors with a cautious to moderate risk profile targeting returns of CPI + 2% over time and a three year or longer investment horizon. The portfolio complies with prudential investment guidelines.

    ASISA Category: South African – Multi Asset – Low Equity

    Risk Profile: Moderate, Conservative

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  • The GCI MET Balanced Fund of Funds is a domestically focussed managed fund of funds which aims to provide the investor with low volatility moderate long term capital growth. The portfolio is suited to investors with a moderate risk profile targeting returns of CPI +3% over time and a four year or longer investment horizon. The portfolio complies with prudential investment guidelines.

    ASISA Category: South African – Multi Asset – Medium Equity

    Risk Profile: Moderate

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  • The GCI MET Balanced Plus Fund is a domestically focussed multi-managed balanced portfolio which aims to provide investors a moderate long term total return. The portfolio will comply with prudential investment guidelines applicable to retirement funds to the extent allowed for by the Act. The portfolio is suited to investors with a moderately aggressive risk profile targeting returns of CPI + 4% over time and a five year or longer investment horizon. The portfolio complies with prudential investment guidelines.

    ASISA Category: South African – Multi Asset – High Equity

    Risk Profile: Moderate, Aggressive

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  • The GCI MET Flexible Fund of Funds is a domestically focussed flexible fund of funds which aims to provide the investor with consistent performance and real capital growth. The portfolio is suited to investors with an aggressive risk profile targeting returns of CPI + 5% over time and a six year or longer investment horizon.

    ASISA Category: South African – Multi Asset – Flexible

    Risk Profile: Aggressive

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  • The GCI MET Worldwide Flexible Fund is a worldwide focussed multi-managed flexible portfolio which aims to maximise total return for investors by way of actively investing across different asset classes, both locally and internationally. The portfolio is suited to investors with an aggressive risk profile targeting returns of CPI + 6% over time and a seven year or longer investment horizon.

    ASISA Category: Worldwide – Multi Asset – Flexible

    Risk Profile: Aggressive

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  • The GCI Global Fund of Funds (USD) is a globally focussed flexible fund of funds which aims to maximise total return for investors by way of actively investing across different asset classes, globally. The portfolio is suited to investors with an moderately aggressive risk profile targeting returns of US Inflation +4% over time and a five year or longer investment horizon.

    Morningstar Category: GIFS USD Moderate Allocation

    Risk Profile: Moderate, Aggressive

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