Fund

Fund
Overview
AUM
Track Record
Annualised
Return
Target
Return
Volatility

Polar Star SNN QIHF

Relative Value Commodity
R767 Million
10+ Years
22.6 Percent
15-20 Percent
14.3 Percent
  • Our flagship fund applies diversified relative value strategies to the persistent structural and cyclical anomalies within global agricultural and energy-linked commodity markets. Trade themes are founded on supply and demand imbalances in the underlying physical commodity markets driven by fluctuations in the annual consumption and production of agricultural commodities.

  • Collapse View
  • Fund Facts

    Fund Launch October 2008
    Portfolio Value R767m
    Share Class ZAR Class
    ISIN ZAE000224382
    Bloomberg PSFZAR1 SJ
    Target Returns 15%-20%
    Fund Liquidity Monthly
    Redemption Notice 30 day notice period
    Min. Initial Investment ZAR1,000,000
    ASISA Classification *CIS Qualified Investor Hedge Fund Worldwide– Other
  • Quick Statistics

    Maximum Drawdown -12.0%
    Months to Recover 4 Months
    Winning Months 68.1%
    Losing Months 31.9%
    Average Winning Month 4.0%
    Average Losing Month 2.6%
    Best Month 18.1%
    Worst Month - 12.0%
    MONTHLY RETURN CORRELATION - EQUITY SWIX TR Index: 0.0
    MONTHLY RETURN CORRELATION - BONDS ALB TR Index: -0.1

performance

Oct 2008 Mar 2021

INVEST WITH POLARSTAR

Introduction note about onboarding of investors and what to do as next steps.

INITIAL INVESTMENT PROCESS

Step By Step

  • Step One

    Download & complete the application form

  • Step Two

    Collate & Certify KYC Documentation for new beneficiary

  • Step Three

    E-mail certified application & KYC documentation for approval to PolarStarManagement@sannegroup.co.za & info@polarstarfunds.com

  • Step Four

    Await email from administrator (Sanne) approving the application to invest

  • Step Five

    Transfer investment to fund(s) bank account

  • Step Six

    Email copy of payment as per KYC requirements to: PolarStarManagement@sannegroup.co.za & info@polarstarfunds.com

  • Step Seven

    Sanne will issue contract via e-mail for investment within 10 business days after month end

ADMINISTRATOR REQUIRES THE DOCUMENTS IN EITHER OF THE FOLLOWING FORMATS TO MEET WITH REGULATIONS: