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AMETF Ivy EasyETFs AI Innovation  –  IVYAI  
     
Prices at least 15 minutes delayed. Source: JSE Ltd.
 
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JSE Overall 110 805 0.31%
 
10 Day Trading Range
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Peer Comparison
CSGOVI (CSGOVI)11.66 (-0.85%)
SYGSPESG (SYGESG)62.17 (1.01%)
SATRIXCAP (STXCAP)55.95 (0.77%)
GLOBAL (GLOBAL)16.94 (0.18%)
RFIAMETF (RFFI)10.25 (-5.00%)
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IVYAI  Latest Market Data
Monday's Closen/a   P/E Ratio
Monday's Open   EPS - TTM
Best Bid   DPS - TTM Dividend n/a
Best Offer   Dividend Yield
Monday's Volume   Market Cap 0.00
Monday's Range   Shares In Issue 1 000
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Objective
The portfolio will be an actively managed exchange traded fund ("AMETF") listed on the JSE. The portfolio's primary objective is to achieve long-term capital growth, by following a quantitative and qualitative equity-driven investment strategy, investing predominantly into global equity securities that the Manager identifies as benefiting from Artificial Intelligence innovation and related technological advancement. The portfolio will be managed in accordance with the investment limitations applicable to the ASISA Global - Equity - General portfolio classification category. The portfolio will follow a research-driven investment strategy, informed by the Manager's macro- economic outlook and market assessments. Investments will predominantly include individual global equity securities and participatory interests in portfolios of collective investment schemes that align with the portfolio's objectives, selected thorough robust due diligence. Asset selection will focus on companies benefiting from Artificial Intelligence innovation and related technological advancement, consistency of performance, soundness of investment process, management team experience, and appropriateness to the portfolio's global equity profile. The strategy will emphasise capital growth, while managing volatility, with an investment risk profile consistent with high equity exposure. To achieve its objective, the portfolio will invest predominantly in global equity securities and global participatory interests in equity portfolios of collective investment schemes (including ETFs), consistent with the ASISA Global - Equity - General portfolio classification category. The assets in liquid form will consist of cash in the portfolio's bank accounts and participatory interests in money market portfolios of collective investment schemes, for liquidity management. The portfolio may include the following supplementary investments, to the extent that they remain consistent with the portfolio's objective, and its classification as a global equity portfolio: listed property; bonds; debentures and securitised debt; warrants, certificates, and other instruments that acknowledge, confer or create, rights to subscribe to, acquire, dispose of, or convert, securities and instruments, subject to the conditions set out in applicable legislation. The portfolio is permitted to invest in foreign assets, subject to the conditions set out in applicable legislation. The portfolio may also include participatory interests or any other form of participation in portfolios of collective investment schemes or other similar schemes, in addition, the portfolio may invest in exchange traded funds or exchange traded notes, whether organised as a portfolio of a collective investment scheme or not, subject to the conditions of the Act. Where the schemes are operated in territories other than in South Africa, participatory interests or any other form of participation in these schemes will be included in the portfolio only where the regulatory environment is to the satisfaction of the Manager and Trustee and is of a sufficient standard to provide investor protection at least equivalent to that in South Africa.
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