Stanbic IBTC Conservative Fund (Sub Fund)
Fund Objective
The investment objective of Stanbic IBTC Conservative Fund is to ensure safety of funds with minimal exposure to the equities market in order to benefit from the returns applicable to equities. Thus, the target asset allocation is biased towards Fixed Income securities. The Fund invests a maximum of 30% of its AUM in listed stocks and a minimum of 70% in Fixed Income securities.
Financials
Year Ending |
Net Income (₦'000) |
Total Expenses (₦'000) |
Profit/(Loss) before Taxation (₦'000) |
Taxation (₦'000) |
Total Income/(Loss) for the year (₦'000) |
Closing Net Assets (₦'000) |
Income Growth |
Fund Management Costs to Income Ratio |
Growth in AUM |
Closing NAV Per Unit (₦) |
Change in Audited NAV Per Unit |
Fund Auditors |
Expense Ratio |