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Multi-AssetData as at February 2026

Anchor BCI DIVERSIFIED MODERATE A CLASS

Benchmark: ASISA SA Multi Asset Medium Equity

Investment Objective

The Anchor BCI Diversified Moderate Fund is a multi-managed portfolio

Investment Philosophy

The Act. The portfolio’s equity exposure is limited to a maximum of 60% of Fund Classification SA Multi Asset Medium Equity the portfolio’s net asset value. In order to achieve its objective, the Distributions Semi-annual , money-market instruments, interest- bearing securities, bonds, debentures, corporate debt, equity securities, other interest-bearing securities, property securities, preference shares, convertible equities and non-equity securities. The portfolio may, from (PY): 1.48% time to time, invest in listed and unlisted financial instruments. The manager may also include forward currency, interest rate and exchange rate swap transactions for efficient portfolio management purposes.

Fund Information

Risk Profile

Low
Low-Mod
Moderate
Mod-High
High
Inception Date2 February 2016
ClassificationSA Multi Asset Medium Equity
Portfolio ValueR198.74 mn
Unit Price178.88 cpu
Management Fee1.32%
TER1.48%
ISINZAE000210605

Fund Performance

 Ann. p.a.Since Inc.5 Year3 Year12 Month6 Month3 MonthMTD
Fund9.4%148.5%13.2%14.6%24.1%12.2%6.8%2.1%
Benchmark8.7%131.7%11.6%13.6%21.4%11.4%5.8%2.3%

Growth of R100 Since Inception

Hover over the chart to see fund and benchmark values at each point

201620172019202120232026R100R140R180R248.5112553633685
  • Fund
  • Benchmark

Past performance is not indicative of future returns.

Performance Comparison (% p.a.)

1 Year3 Year5 YearSince Inception0%7%14%21%28%
  • Fund
  • Benchmark

Monthly Returns (%)

YearJANFEBMARAPRMAYJUNJULAUGSEPOCTNOVDECYTD
20262.502.104.70
20251.300.200.401.402.602.202.301.202.601.700.702.0020.30
2024-0.200.300.201.101.501.602.801.902.70-0.701.200.0013.10
20235.600.10-0.701.30-1.201.701.600.00-2.40-1.505.301.8011.80
2022-1.300.50-0.10-0.200.40-2.202.501.00-3.503.503.60-0.303.80
20212.502.600.601.000.200.601.601.100.402.300.903.0018.20
20200.40-2.00-11.609.001.002.201.401.00-1.20-1.705.301.103.60
20191.002.600.702.90-2.401.10-0.40-1.101.901.10-0.100.908.30
20180.700.00-2.202.70-1.201.001.202.60-1.60-3.100.200.000.10
20171.40-0.501.301.401.10-1.402.900.600.703.400.30-2.009.30
20160.302.200.402.20-2.801.201.00-0.50-1.700.700.603.60

Top Holdings

1Anchor BCI Bond Fund
13.1%
2Bateleur BCI SA Equity Fund B4
9.6%
3Strategic Income Fund
8.3%
4ClucasGray Equity Prescient Fund
7.9%
5Excelsia Equity 27Four Fund
5.7%
6iShares Core MSCI World
5.6%
7Dodge & Cox Global Bond Fund
3.2%
8IFM Bond Fund
3.1%
9Dodge & Cox Global Stock Fund
2.9%
10iShares Core Euro STXX 50
1.7%

Asset Allocation

Local Equity34.2%
Local Income21.3%
Offshore Equity18.1%
Local Bonds17.2%
Offshore Bonds4.9%
Offshore Income4.3%

Fund Manager Commentary

The FTSE JSE All Share rallied, driven by resources as gold approached record highs and platinum group metals (PGMs) remained elevated. The rand extended its appreciation, supported by commodity export receipts, US dollar weakness, and the market-friendly February budget, which confirmed a widening primary surplus and a stabilising debt trajectory — removing a meaningful fiscal tail risk. February's developments reflect a

Important Information

Collective Investment Schemes in Securities (CIS) should be considered as medium to long-term investments. The value may go up as well as down and past performance is not necessarily a guide to future performance. CIS are traded at the ruling price and can engage in scrip lending and borrowing. A schedule of fees, charges and maximum commissions is available on request from the Manager. Commission and incentives may be paid and if so, would be included in the overall costs. A CIS may be closed to new investors in order for it to be managed more efficiently in accordance with its mandate. Performance has been calculated using net NAV to NAV numbers with income reinvested.

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