1nvest Top 40 ETF
1nvest ALSI 40 Fund
The fund invests in the constituents of the Top40 Index and aims to replicate the Index by holding the same weightings of these constituents. The Top40 is an equity Index of the 40 largest companies by market capitalisation, listed on the JSE. The fund is rebalanced quarterly and therefore has minimal trading costs. The fund may also hold a small portion in cash instruments and listed derivatives to effect efficient portfolio management.
asset class
Equity
product type
ETF
geography
Local
The fund invests in the constituents of the Top40 Index and aims to replicate the index by holding the same weightings of these constituents. The Top40 is an equity Index of the 40 largest companies by market capitalisation, listed on the JSE. The fund is rebalanced quarterly and therefore has minimal trading costs.The fund may also hold a small portion in cash instruments and listed derivatives to effect efficient portfolio management.
asset class
Equity
product type
UT
geography
Local
risk rating
conservative
moderately conservative
moderate
moderately aggressive
aggressive
conservative
moderately conservative
moderate
moderately aggressive
aggressive
minimum period
1 month
6 months
1 year
3 years
5 years
7 years
code | share name | basket | Weight |
ATT | Naspers Ltd – N Shares | 941 | 22% |
EPP | Compagnie Financiere Richemont SA De | 627 | 13% |
FFA | Impala Platinum Holdings Ltd | 1570 | 5% |
FFB | Pick ‘n Pay Stores Ltd | 1167 | 3% |
GRT | Mr Price Group Ltd | 4469 | 2% |
1 month
6 months
1 year
3 years
5 years
7 years
documents / info
find all the documents and investor info you need to help you learn more about this fund.
date | 2023-11-28 |
share code | ETFT40 |
NAV | R 69.07 |
fund size | R 609,538,305.28 |
cash contribution | R 360,514.60 |
index level | 69367 |
distributable amount | 18.83 cpu |
TER (inc VAT) | 0.29 % |
code | share name | basket | Weight |
NPN | Naspers Ltd | 2352 | 11.66 % |
AGL | Anglo American Plc | 15204 | 11.55 % |
FSR | Firstrand Ltd | 62721 | 6.15 % |
SBK | Standard Bank Group Ltd | 16768 | 4.83 % |
GFI | Gold Fields Ltd | 11027 | 4.14 % |
PRX | Prosus Nv | 4385 | 3.98 % |
MTN | Mtn Group Ltd | 22594 | 3.35 % |
CPI | Capitec Bank Holdings Ltd | 1063 | 3.06 % |
MNP | Mondi Plc | 6076 | 2.83 % |
CFR | CIE FINANCIERE RICHEMO-A REG | 811 | 2.82 % |
BTI | British American Tobacco Plc | 3208 | 2.81 % |
ABG | Absa Group Ltd | 10366 | 2.65 % |
BID | Bid Corp Ltd | 4166 | 2.52 % |
ANG | ANGLOGOLD ASHANTI PLC | 5255 | 2.50 % |
SOL | Sasol Ltd | 7231 | 2.30 % |
SHP | Shoprite Holdings Ltd | 5988 | 2.28 % |
SLM | Sanlam Ltd | 21699 | 2.19 % |
BHG | Bhp Group Limited | 2396 | 2.02 % |
NED | Nedbank Group Ltd | 5749 | 1.79 % |
BVT | The Bidvest Group Ltd | 4253 | 1.68 % |
ANH | Anheuser-Busch Inbev SA/NV | 933 | 1.60 % |
GLN | Glencore Xstrata Plc | 10034 | 1.54 % |
INP | Investec Ltd | 7671 | 1.37 % |
DSY | Discovery Holdings Ltd | 6654 | 1.35 % |
REM | Remgro Ltd | 6357 | 1.34 % |
CLS | New Clicks Holdings Ltd | 3055 | 1.33 % |
IMP | Impala Platinum Holdings Ltd | 10085 | 1.23 % |
APN | Aspen Pharmacare Holdings Ltd | 4619 | 1.20 % |
VOD | Vodacom Group Ltd | 7463 | 1.16 % |
WHL | Woolworths Holdings Ltd | 11290 | 1.12 % |
HAR | Harmony Gold Mining Company Ltd | 6805 | 1.11 % |
RNI | Reinet Investments Sca | 1696 | 1.09 % |
SSW | Sibanye Stillwater Ltd | 35066 | 1.05 % |
NRP | Nepi Rockcastle N.V. | 6070 | 1.02 % |
OMU | Old Mutual Ltd | 55410 | 0.97 % |
EXX | Exxaro Resources Ltd | 3021 | 0.84 % |
NPH | NORTHAM PLATINUM HOLDINGS LT | 4512 | 0.81 % |
AMS | Anglo Platinum Ltd | 707 | 0.80 % |
MRP | Mr Price Group Ltd | 3114 | 0.70 % |
GRT | Growthpoint Properties Ltd | 42633 | 0.64 % |
INL | Investec Ltd | 3376 | 0.60 % |
SIMMB4 | Stanlib Institutional Money Market Fund | 263780 | 0.39 % |
date | download |
2023-11-27 | 1NVEST_Fund_Data_20231127.csv |
2023-11-24 | 1NVEST_Fund_Data_20231124.csv |
2023-11-23 | 1NVEST_Fund_Data_20231123.csv |
2023-11-22 | 1NVEST_Fund_Data_20231122.csv |
2023-11-21 | 1NVEST_Fund_Data_20231121.csv |
2023-11-17 | 1NVEST_Fund_Data_20231117.csv |
2023-11-16 | 1NVEST_Fund_Data_20231116.csv |
2023-11-14 | 1NVEST_Fund_Data_20231114.csv |
2023-11-13 | 1NVEST_Fund_Data_20231113.csv |
2023-11-09 | 1NVEST_Fund_Data_20231109.csv |
2023-11-08 | 1NVEST_Fund_Data_20231108.csv |
2023-11-07 | 1NVEST_Fund_Data_20231107.csv |
2023-11-06 | 1NVEST_Fund_Data_20231106.csv |
2023-11-03 | 1NVEST_Fund_Data_20231103.csv |
2023-11-01 | 1NVEST_Fund_Data_20231101.csv |
2023-10-31 | 1NVEST_Fund_Data_20231031.csv |
2023-10-30 | 1NVEST_Fund_Data_20231030.csv |
2023-10-27 | 1NVEST_Fund_Data_20231027.csv |
2023-10-26 | 1NVEST_Fund_Data_20231026.csv |
2023-10-25 | 1NVEST_Fund_Data_20231025.csv |