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What makes a great fund manager?

What makes a great fund manager? Trevor Garvin, Head of Multi-management, answers this question in the latest episode of our podcast hosted by Responsible Investment Analyst, Lulama Robertson.

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Harnessing the power of boutiques

Everyone should benefit from the difference that the best boutiques can bring. At Nedgroup Investments, we are dedicated to finding exceptional fund managers and providing the right conditions for them to perform. We foster multi-decade relationships to enable managers and teams to flourish over the long term, offering our clients more choice, better access and deeper alignment with their investments.

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10 years with our Best of Breed partner, FPA and the Nedgroup Investments Global Flexible Fund

This year marks the 10-year anniversary of First Pacific Advisors (FPA) managing our Nedgroup Investments Global Flexible Fund. To celebrate, we are highlighting some key milestones of the fund and some notable comments from co-portfolio Manager, Steven Romick, who has over 30 years of investment experience.

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Half yearly update - Nedgroup Investments Core Income Fund

Welcome to the half yearly update on the Nedgroup Investments Core Income Fund. We embark on this enlightening short video with Raphael Nkomo, CIO at Taquanta. Prepare to immerse yourself in an insightful discourse as he guides us through Taquanta's macroeconomic perspectives on both local and global fronts – a narrative that will help shape the course of your investment considerations. Raphael’s seasoned expertise unfurls a panorama of economic intricacies, offering a nuanced understanding of prevailing inflation and interest rates. His forward-looking insights are poised to equip you better navigate the dynamic investment markets landscape. Transitioning from macroeconomic panoramas to granular investment realms, we introduce Sharika Salie, Portfolio Manager of the Nedgroup Investments Core Income Fund. In this segment, Sharika extends a comprehensive update, illuminating the fund's strategic positioning characterised by its pillars of safety, stability, liquidity, and an unwavering commitment to low volatility. As the narrative unfolds, Sharika unveils a pivotal facet – the impressive size of the fund, standing resolute at approximately R53 billion*. But this is no mere statistic; it's a cornerstone of the fund's strategic advantage, a gateway to securing competitive yields from issuers and skilfully managing liquidity. Prepare to be captivated by this dynamic synergy, as we delve into the intricacies of a fund that not only navigates but thrives in the ever-changing financial markets.

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