Domestic Houseview Strategy

INSTITUTIONAL

INVESTMENT OBJECTIVE:

The Coronation Domestic Houseview Strategy is a clean slate fully discretionary portfolio, which represents our best investment view for a domestic balanced portfolio in all major domestic asset classes – equities, property, bonds and cash. The Strategy's objective is to deliver the best risk-adjusted returns available across all the listed asset classes. In achieving this it aims to outperform the benchmark over meaningful periods (defined as at least 5 years).


Coronation is a long-term, valuation-driven investment house. Our aim is to identify mispriced assets trading at discounts to their long-term underlying value (fair value) through extensive proprietary research. The Portfolio is constructed on a clean-slate basis based on the relative risk-adjusted upside to fair value of each underlying asset. The Portfolio is constructed with no reference to a benchmark. We do not equate risk with tracking error, or divergence from a benchmark, but rather with the probability of a permanent loss of capital.

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The value of investments may go down as well as up, and is therefore not guaranteed. Past performance is not necessarily an indication of future performance.

STRATEGY RETURNS GROSS OF FEES
STRATEGY BENCHMARK* OUTPERFORMANCE
Since Launch (unannualised) 3,639.0% 2,001.2% 1,637.8%
Since Launch (annualised) 14.4% 11.9% 2.5%
Latest 20 years (annualised) 13.5% 11.4% 2.1%
Latest 15 years (annualised) 11.5% 10.0% 1.5%
Latest 10 years (annualised) 9.2% 7.7% 1.5%
Latest 5 years (annualised) 13.1% 10.1% 3.0%
Latest 1 year 17.3% 14.0% 3.3%
Year to date 17.3% 14.0% 3.3%
Month (0.1)% (0.2)% 0.1%

* 65% FTSE/JSE Africa Capped Shareholder Weighted Index (Capped SWIX); 25% JSE ASSA All Bond Index (ALBI) and 10% Short Term Fixed Interest 3-month Index (STeFI 3m)

The value of investments may go down as well as up, and is therefore not guaranteed. Past performance is not necessarily an indication of future performance.