Satrix Property Index Fund
This fund tracks the SA Listed Property Index which comprises the top 20 liquid companies, by full market cap, in the Real Estate Investment & Services Sector and Real Estate Investment Trusts Sector, with a primary listing on the JSE.

Latest NAV

R 5.19
How the pricing works

The price quoted is the NAV (Net Asset Value) of the unit trust on the previous business day. Buy or Sell instructions received before 01:30pm are executed at the end of the day at the closing NAV for that day. Instructions received after 01:30pm are executed at the end of the next business day. Note that Money Market will always have a NAV of R1. Interest will accrue daily and be distributed monthly.

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Satrix Property Index Fund
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