Sygnia Itrix Global Property ETF

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About Sygnia Itrix Global Property ETF

The Sygnia Itrix Global Property ETF is a high risk, passively managed portfolio of listed global property shares, registered as a Collective Investments Scheme, and is listed on the Johannesburg Stock Exchange as an Exchange Traded Fund. The objective of this portfolio is to provide simple access to investors who wish to track the movements of the S&P Global Property 40 Index through investing in the physical index securities. The S&P Global Property 40 Index is designed to provide diversified exposure to 40 leading global property companies.

What's been happening to SYGP in the market

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Pricing

*last updated 17 April, 2024
FUND SIZE TER
R 717 828 423 0.23

Current Prices Prices update end of day

Last Price
Buying At
Selling At
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ETF Information

ETF Data
Fund Type ETF Inception Date 2017-10-30
Asset Class Real Estate Index Tracked S&P Global Property 40 Index
Geo Focus Global Index Weighting Market Cap
Fund Strategy Blend Fund Expense Ratio 0.23
Classification International Property ETFs Institution Sygnia
Broad Classification Real Estate Risk Profile High
Domestic/Foreign Foreign Actively Managed N
Available In TFSA Account YES JSE Code SYGP
Dividends Pays Dividends Dividend Frequency Semi-Annual Dec & Jun
ETF Data
Fund Type ETF
Inception Date 2017-10-30
Asset Class Real Estate
Index Tracked S&P Global Property 40 Index
Geo Focus Global
Index Weighting Market Cap
Fund Strategy Blend
Fund Expense Ratio n/a
Classification International Property ETFs
Institution Sygnia
Broad Classification Real Estate
Risk Profile High
Domestic/Foreign Foreign
Actively Managed N
Available In TFSA Account YES
Dividends n/a
Dividend Frequency Semi-Annual Dec & Jun
JSE Code SYGP

Performance

*last updated 17 April, 2024
Timeline %
1 Week -2.93%
1 Month -3.97%
3 Months -3.34%
6 Months 8.03%
1 Year 7.06%
3 Years 6.88%
5 Years 6.44%
10 Years %
YTD -2.22%

Risk

*last updated 17 April, 2024
Daily Risk
3 Years Absolute Return 22.63
3 Years Maximum Drawdown 23.27
5 Years Absolute Return 36.63
5 Years Maximum Drawdown 26.38
Monthly Risk
3 Years Sharpe 0.72
3 Years Sortino 0.32
3 Years Standard Deviation 17.93
5 Years Sharpe 0.29
5 Years Sortino 0.13
5 Years Standard Deviation 16.62

Fees

ETF Data
Annual Management Fee 0.21
Performance Fee n/a
TER 0.23
Transaction Cost 0.02

Dividends

 
ETF Data
Last Payable Date 2024-01-15
Last Payable Amount 63.83c
Next Payable Date
Next Payable Amount TBD
More information and Research on this ETF View Info
Visit the ETF company website Visit Website

Trading Statistics on EasyEquities

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Age Group

Age Count
0-17 317
35-54 1624
55+ 410

Buying

Buy For Count
Day 2
Month 673
Year 9700

Selling

Sell For Count
Day n/a
Month 1
Year 2

Age Groups

0-17 317
18-34 1656
35-54 1624
55+ 410