The portfolio is an actively managed, flexible income portfolio that effectively makes asset allocation decisions across high yielding asset classes such as preference shares, non-equity securities, fixed interest instruments (including, but not limited to, bonds, corporate bonds,
inflation linked bonds, convertible bonds, cash deposits and money market instruments) and assets in liquid form. The portfolio may from time to time invest in listed and unlisted financial instruments. The manager may also include unlisted forward currency, interest rate and
exchange rate swap transactions.
If you are looking for high levels of income, while preserving capital, the Sasfin BCI Flexible Income Fund aims to achieve these objectives.
Watch the video below to learn more about this investment strategy.
Our formidable investment team has developed a sound investment philosophy, combining thorough fundamental research, spanning various asset classes with focused analysis of global macroeconomic trends.
Portfolio Manager, Asset Management
Contact your financial advisor or a Sasfin financial advisor today to find out more about investing with Sasfin Asset Managers.
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