Satrix Global Aggregate Bond

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About Satrix Global Aggregate Bond

This global ETF is listed on the JSE and investors can access it in South African Rand. It offers exposure to investment grade government, government-related, corporate and securitised debt.

What's been happening to undefined in the market

  • 1M RTN
    3M RTN
    6M RTN
    1 YR RTN
    MAX RTN
  • DAILY CHANGE
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    • 6M
    • 1Y
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Pricing

*last updated 31 March, 2025
FUND SIZE TER
R 677 484 618 0.4

Current Prices Prices update end of day

Last Price
Buying At
Selling At
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How the pricing works

ETF Information

ETF Data
Fund Type ETF Inception Date 2020-08-19
Asset Class Fixed Income Index Tracked Bloomberg Barclays Global Aggregate Bond Index
Geo Focus Global Index Weighting Market Cap
Fund Strategy Government Fund Expense Ratio 0.4
Classification International Bond ETFs Institution Satrix
Broad Classification Fixed Income Risk Profile Aggressive
Domestic/Foreign Foreign Actively Managed N
Available In TFSA Account YES JSE Code undefined
Dividends Pays Dividends Dividend Frequency Semi-Annually
ETF Data
Fund Type ETF
Inception Date 2020-08-19
Asset Class Fixed Income
Index Tracked Bloomberg Barclays Global Aggregate Bond Index
Geo Focus Global
Index Weighting Market Cap
Fund Strategy Government
Fund Expense Ratio n/a
Classification International Bond ETFs
Institution Satrix
Broad Classification Fixed Income
Risk Profile Aggressive
Domestic/Foreign Foreign
Actively Managed N
Available In TFSA Account YES
Dividends n/a
Dividend Frequency Semi-Annually
JSE Code undefined

Performance

*last updated 24 March, 2025
Timeline %
1 Week 0.05%
1 Month -0.58%
3 Months -0.85%
6 Months 1.85%
1 Year -2.04%
3 Years 5.62%
5 Years %
10 Years %
YTD -1.69%

Risk

*last updated 31 March, 2025
Daily Risk
3 Years Absolute Return 18.55
3 Years Maximum Drawdown 10.49
5 Years Absolute Return n/a
5 Years Maximum Drawdown n/a
Monthly Risk
3 Years Sharpe 0.22
3 Years Sortino 0.09
3 Years Standard Deviation 9.46
5 Years Sharpe n/a
5 Years Sortino n/a
5 Years Standard Deviation n/a

Fees

ETF Data
Annual Management Fee 0.24
Performance Fee n/a
TER 0.4
Transaction Cost 0.01

Dividends

 
ETF Data
Last Payable Date 2024-10-21
Last Payable Amount 51.29c
Next Payable Date
Next Payable Amount TBD
More information and Research on this ETF View Info
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Trading Statistics on EasyEquities

See below for what our other EasyEquities users think of this ETF.

Age Group

Age Count
0-17 160
35-54 1591
55+ 289

Buying

Buy For Count
Day 2
Month 723
Year 8054

Selling

Sell For Count
Day n/a
Month 1
Year 833

Age Groups

0-17 160
18-34 1816
35-54 1591
55+ 289