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Satrix RESI

4S1A:GR
Berlin
2.79
EUR
0.02
0.80%
As of 1:30 PM EDT 5/22/2018
Open
2.79
Day Range
2.73 - 2.87
Volume
0
Previous Close
2.81
52Wk Range
2.05 - 2.87
1 Yr Return
25.86%
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Open
2.79
Day Range
2.73 - 2.87
Volume
0
Previous Close
2.81
52Wk Range
2.05 - 2.87
1 Yr Return
27.77%
YTD Return
12.44%
NAV (on -)
-
Total Assets (m ZAR) (on 05/22/2018)
360.455
Inception Date
10/03/2007
Premium/Discount
-
Average 52-Week Premium
-
Fund Managers
JOHANN HUGO / JENNY ALBRECHT
Last Dividend (on -)
13.95
Dividend Indicated Gross Yield
-
Expense Ratio
0.45%
3 Mo Return
12.22%
3 Yr Return
-3.59%
5 Yr Return
-2.70%

Top Fund Holdings

Name Position Value % of Fund
393.86 k 98.68 m 29.93
257.39 k 65.79 m 19.96
143.88 k 61.61 m 18.69
95.56 k 30.51 m 9.25
105.02 k 13.51 m 4.10
144.90 k 12.97 m 3.93
210.12 k 11.37 m 3.45
68.06 k 11.06 m 3.35
30.70 k 9.80 m 2.97
112.71 k 7.25 m 2.20
Profile
Satrix Resi an exchange-traded fund registered in South Africa.The Satrix Resi provides investors with the price performance of the FTSE/JSE Capped Resources 10 index and pays all the dividends received from companies in the index to investors, on a quarterly basis, net of costs.
Address
Satrix Managers Ltd
Three Exchange Square
87 Maude Street
Sandown, 2146
South Africa
Phone
27-11-784-0641