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| Add ORBT30 to |
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Watch List |
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Portfolio |
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| | JSE Overall | 109 683 | | 0.64% |
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| 1,002 |
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1,003 |
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| Yesterday's Close | 1,003 |
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P/E Ratio | – |
| Today's Open | – |
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EPS - TTM | – |
| Best Bid | 952 x 100 000 |
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DPS - TTM
Dividend
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–
n/a
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| Best Offer | – |
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Dividend Yield | – |
| Volume | – |
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Market Cap | 8.03m |
| Day's Range | – |
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Shares In Issue | 801 000 |
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| The Portfolio's investment policy shall be to track as closely as possible the Index with the intention of allowing an investor to obtain market exposure to the constituent securities held in the Portfolio.
The Portfolio will be passively managed in that the Manager will not buy and sell securities based on economic, financial and/or market analysis, but solely to ensure that the Portfolio tracks the Index. As such, the investment objective and style of the Portfolio will be full replication of the Index. Accordingly, the financial or other condition of any company or entity included in the Index will not result in the elimination of its securities from the Portfolio unless such securities are removed from the Index.
Investors may obtain participatory interests in the Portfolio on the secondary market or by subscribing for new participatory interests on the primary market. The Manager may, subject to the Act and the deed, create and issue or redeem and cancel an unlimited number of participatory interests. The Manager shall further be entitled, in its discretion and only on a temporary basis, to employ such other investment techniques and financial instruments, whether listed or unlisted, for efficient portfolio management, including reducing risk or cost or generating capital or income for the Portfolio with an acceptable level of risk, subject to the deed, the DSS Requirements and the Act.
The Portfolio may also include participatory interests or any other form of participation in portfolios of
collective investment schemes or similar schemes as the Act may allow, which are consistent with the
Portfolio's investment policy.
The composition of the Portfolio will be adjusted periodically to conform to changes in the composition and weightings of securities in the Index to ensure that the Portfolio reflects the Index.
The Portfolio shall hold securities for the economic rights and benefits attaching thereto. In the event of a takeover bid or other corporate action, the Portfolio shall not surrender any securities unless such surrender is mandatory in terms of applicable law or regulatory rules. Where such corporate action results in a company no longer qualifying for inclusion in the Index, the relevant securities shall be disposed of and the proceeds applied to adjust the Portfolio to ensure it tracks the Index.
It is anticipated that ancillary assets in liquid form will not form a substantial part of the Portfolio's assets; however, any such liquid assets may be invested in short-term money market investments.
It is recorded that the Portfolio's ability to replicate the price and yield performance of the Index will be affected by the costs and expenses incurred by the Portfolio. |
| Company Factsheet |
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