Page 333 - Profile's Unit Trusts and Collective Investments 2021 issue 2
P. 333
Statistics Offshore Unit Trusts Performance Figures
TABLE 1: LUMP SUM PERFORMANCE FIGURES TO 31 JULY 2021 (IN US $ TERMS)
1 Yr (NAV) 3 Yrs (NAV) 5 Yrs (NAV) 7 Yrs (NAV) 10 Yrs (NAV) 15 Yrs (NAV) 20 Yrs (NAV)
Offshore Funds (404) RNK (%) RNK (%) RNK (%) RNK (%) RNK (%) RNK (%) RNK (%)
STANLIB Multi-Manager Global Bond Fund 9 2.64 5 4.38 7 2.69 6 1.68 7 1.76 2 3.51 1 4.91
Arithmetic Average 2.52 3.59 3.21 1.64 1.60 2.19 3.87
Median Rate of Return 1.86 3.22 2.60 1.52 1.79 2.19 4.11
Standard Deviation 4.19 1.96 2.79 1.52 1.41 1.66 0.93
Global—Fixed Interest—Money Market (3)
Franklin US Dollar Short-Term Money Market Fund 1 (0.10) 2 0.87 2 0.82 2 0.55 2 0.33 1 0.71 1 0.90
GinsGlobal Global Money Market Fund - US$ 3 (0.76) 3 0.53 3 0.52 3 0.32 3 0.25 2 0.28
Schroder International Selection Fund US Dollar Liquidity 2 (0.11) 1 1.15 1 1.03 1 0.77 1 0.51 3 0.23
Arithmetic Average (0.32) 0.85 0.79 0.55 0.36 0.41 0.90
Median Rate of Return (0.11) 0.87 0.82 0.55 0.33 0.28 0.90
Standard Deviation 0.31 0.25 0.21 0.18 0.11 0.22 0.00
Global—Fixed Interest—Other Income (4)
Franklin Global Sukuk Fund 2 3.94 1 5.54 1 3.29
Oasis Crescent Global Income Fund 3 2.65 2 4.45 2 3.08 2 2.35 1 2.84
Oasis Crescent Global Short Term Income Fund 4 0.64 4 2.11
Prescient Global Income Fund 1 6.27 3 3.80 3 2.74 1 2.35 2 2.20
Arithmetic Average 3.38 3.98 3.04 2.35 2.52
Median Rate of Return 3.30 4.13 3.08 2.35 2.52
Standard Deviation 2.04 1.24 0.23 0.00 0.32
Global—Real Estate—General (20)
Catalyst Global Real Estate UCITS Fund A 7 29.31 6 9.72 5 5.90 3 6.69 1 6.96
Catalyst Global Real Estate UCITS Fund B 5 29.79 5 10.22 3 6.40 1 7.20
First World Hybrid Real Estate Plc 13 24.60 3 11.00 1 9.68 5 5.28
Franklin Global Real Estate Fund 9 28.59 9 7.31 9 3.67 6 4.46 3 5.32 2 2.53
iShares Developed Markets Property Yield UCITS ETF 2 31.34 15 4.03
Marriott International Real Estate Fund 3 30.21 12 5.88 7 4.77 7 4.34 4 5.29 4 2.24 1 5.77
Marriott International Real Estate Fund Acc 4 30.19 13 5.75 8 4.69 8 4.28 5 5.25
Nedgroup Investments Global Property Fund 16 21.61 8 8.50 4 6.33
Oasis Crescent Global Property Equity Fund (Ireland) 8 28.98 17 1.63 15 0.68 11 1.79 8 3.94
Peregrine Global Real Estate Fund 11 26.20 7 8.88
Reitway Enhanced Global Property Fund (MLT) USD B1 1 40.66 1 12.36
Reitway Global Property Fund (MLT) USD B1 14 24.54 4 10.62
Reitway Global Property Portfolio AUD A 17 14.33 16 3.02 12 0.99
Sanlam Centre Global Listed Infrastructure Fund C USD Inc 18 13.78
Sanlam Global Property Fund 6 29.67 10 6.54 6 5.27 4 5.75
Sarasin IE Sustainable Global Real Estate Equity 10 26.73 14 4.17 11 2.54 10 3.25 6 5.01 3 2.38
Schroder International Selection Global Cities Real Estate 12 24.98 2 11.49 2 7.62 2 6.73 2 6.68 1 4.68
STANLIB Global Property Fund 15 24.24 11 6.06 10 2.64 9 3.61 7 4.75
VAM International Global Infrastructure Fund A USD 20 12.59 19 0.40 14 0.82 13 (0.13) 10 1.82
VAM International Global Infrastructure Fund B USD 19 12.63 18 0.47 13 0.89 12 (0.08) 9 1.87
Arithmetic Average 25.25 6.74 4.19 4.09 4.69 2.96 5.77
Median Rate of Return 26.47 6.54 4.69 4.34 5.13 2.46 5.77
Standard Deviation 7.05 3.64 2.66 2.31 1.64 1.00 0.00
Japan—Equity—General (6)
Aberdeen Global - Japanese Equity Fund 6 19.33 3 5.71 4 5.48 3 5.76 3 6.51 3 3.42
Franklin Japan Fund 5 21.49 6 1.96 5 4.72 5 3.73 5 4.12 5 (0.13) 2 1.96
GinsGlobal Japanese Equity Index Fund 3 27.88 1 7.28 3 8.16 2 5.95 4 5.66 4 1.96
iShares Core MSCI Japan IMI UCITS ETF 4 24.97 2 6.01
Orbis SICAV Japan Equity Fund (Euro Class) 1 34.32 5 3.28 1 10.67 4 4.83 1 8.39 2 3.91
Orbis SICAV Japan Equity Fund (Yen Class) 2 29.48 4 4.44 2 8.72 1 6.62 2 7.68 1 5.50 1 6.89
Arithmetic Average 26.25 4.78 7.55 5.38 6.47 2.93 4.43
Median Rate of Return 26.43 5.08 8.16 5.76 6.51 3.42 4.43
Standard Deviation 5.01 1.78 2.18 1.00 1.51 1.90 2.47
UK—Equity—General (2)
M&G Recovery Fund A Acc 2 40.25 2 (1.63) 2 4.39 2 (1.64) 2 0.42 1 2.26
M&G Recovery Fund I Acc 1 40.89 1 (1.39) 1 4.68 1 (1.38) 1 0.62
Arithmetic Average 40.57 (1.51) 4.54 (1.51) 0.52 2.26
Median Rate of Return 40.57 (1.51) 4.54 (1.51) 0.52 2.26
Standard Deviation 0.32 0.12 0.15 0.13 0.10 0.00
UK—Fixed Interest—Bond (1)
BMI Investment Funds Limited Sterling Bond Fund 1 4.24 1 5.59 1 3.53 1 1.24 1 3.10 1 2.14 1 4.32
Arithmetic Average 4.24 5.59 3.53 1.24 3.10 2.14 4.32
Median Rate of Return 4.24 5.59 3.53 1.24 3.10 2.14 4.32
Standard Deviation 0.00 0.00 0.00 0.00 0.00 0.00 0.00
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Profile’s Unit Trusts & Collective Investments — OFFSHORE