ETF SUSPENDED

Cartesian EasyETFs Balanced Actively Managed ETF

An AMETF seeking risk adjusted exposure that is regulation 28 compliant.

The portfolio is an actively managed exchange-traded fund (ETF) listed on the Exchange, designed to achieve long-term capital growth. It follows a research-driven, quantitative and qualitative multi-asset investment strategy that reflects the manager’s macro-economic views and market outlook. The portfolio invests in a diversified range of local and international assets, including equities, bonds, money market instruments, property-related securities, collective investment schemes, and other permitted financial instruments. Investments may be listed or unlisted and may include exchange-traded and over-the-counter instruments where appropriate. The portfolio is managed within applicable prudential limits and is fully compliant with Regulation 28 of the Pension Funds Act, the Collective Investment Schemes Control Act, and all relevant regulatory requirements. Asset allocation is actively adjusted in response to changing market conditions, with the flexibility to hold cash when necessary.

Fund Price

The investment performance is for illustrative purposes only and is calculated by taking into account JSE closing prices. Past performance is not indicative of future performance.

Cartesian EasyETFs Balanced Actively Managed ETF Details

As on 20260302

Share Code

CARTBL

Price / NAV (ZAC)

1016.37

Fund Size (ZAR)

25419575

Distributable Amount

-.69

Management Fee (including VAT)

1.15%

Total Expense Ratio (Incluing VAT):

TBD

Total investment Cost (Including VAT)

TBD

General Fund Details

Classification

South Africa - Multi Asset - High Equity

Benchmark

ASISA - SA - MA - HE Category Average

Distribution Dates

Quarterly - August, November, February, May

Asset Manager

Cartesian Capital (FSP#45318)

Trustee

FirstRand Bank

Auditor

BDO

Risk Profile

Moderate-Aggressive

Performance Table

Fund* Benchmark** CPI Inflation***
UNANNUALISED:
Since Inception Coming soon Coming soon Coming soon
Year to Date Coming soon Coming soon Coming soon

* Returns are calculated for lump sum investments. All dividends reinvested on ex-date.
** ASISA - SA - MA - HE Category Average
*** This is based on the latest CPI numbers.

Download Fund Documentation

Underlying Investments

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*As of 20260302

Instrument
Currency
Weight
Absa Group Ltd ZAR 3.28
Afrimat Ltd ZAR 1.39
ANGLOGOLD ASHANTI PLC ZAR 4.5
Astral Foods Ltd ZAR 2.08
ISHARES JP MORGA USD 4.67
ISHR GLB HY CORP USD 4.66
iShares MSCI World ETF USD 4.33
ISHA CORE EM USD 4.42
CIE FINANCIERE R ZAR 6.07
Capitec Bank Holdings Ltd ZAR 3.25
DRD Gold Ltd ZAR 1.89
Equites Property Fund Limited ZAR 1.97
Firstrand Ltd ZAR 3.22
Gold Fields Ltd ZAR 3.1
NORTHAM PLATINUM ZAR 2.1
Naspers Ltd - N Shares ZAR 3.48
Pan African Resource ZAR 4.52
Pick 'n Pay Stores Ltd ZAR 1.6
Pepkor Holdings Limited ZAR 2.04
Prosus NV ZAR 6.74
RSA R2032 8.25% 310332 ZAR 1.33
RSA R2035 8.875% 280235 ZAR 3.8
RSA R2037 8.5% 310137 ZAR 3.86
RSA R2040 9.00% 31012040 ZAR 2.6
RSA R2044 8.75% 31012044 ZAR 3.83
Shoprite Holdings Ltd ZAR 2
Sanlam Ltd ZAR 2.13
Stor-age Property Reit Ltd ZAR 1.52
Sibanye Stillwater Ltd ZAR 1.81
VALTERRA PLATINUM LIMITED ZAR 3.34
INAV - USD.CASH USD 0.15
INAV - ZAR.CASH ZAR 4.34

Fund Comparison Tool

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EasyETFs Performance Indicator

Performance is for illustrative purposes only and past performance is not indicative of future performance. An individual’s investment performance and the Portfolio NAV may differ from the indicators in the graph as a result of other factors such as brokerage fees, acquisition prices, portfolio costs, management fees, dividend declarations and reinvestment, and withholding taxes, where applicable.