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Listing Announcement - Anchor EasyETFs Aspirant Global Equity AMETF
EasyETFs (RF) Proprietary Limited
(Registration number 2013/078096/07)
(Being the manager of the EasyETFs Scheme)
Anchor EasyETFs Aspirant Global Equity Actively Managed ETF
(being a portfolio under the EasyETFs Scheme, registered in the Republic of South Africa in terms of
the Collective Investment Schemes Control Act, 2002 (" the Act"))
Short Name: AGE AMETF
Apha/Share Code: AAGEET
ISIN: ZAE000360442
Listing by Introduction of the Anchor EasyETFs Aspirant Global Equity Actively Managed ETF
1. Introduction
This announcement is issued in compliance with the JSE Debt and Specialist Securities Listings
Requirements ("DSS Requirements") for information purposes, following the JSE approving the listing
by introduction of the participatory interests in the Anchor EasyETFs Aspirant Global Equity Actively
Managed ETF ("Anchor EasyETFs Aspirant Global Equity AMETF").
The information set out below has been extracted from EasyETFs ETF Programme Memorandum ("the
Programme Memorandum") issued by the Manager on 18 October 2024 and updated on 11 May 2026
and the 10th Supplement ("the Supplement") issued on 11 May 2026 and relates to the listing by
introduction of Anchor EasyETFs Aspirant Global Equity AMETF participatory interests in the "Actively
Managed ETF" sub-sector of the "Exchange Traded Funds" sector on the Main Board of the JSE.
2. Structure
The Anchor EasyETFs Aspirant Global Equity AMETF portfolio is managed by EasyETFs (RF) (Pty)
Ltd, an approved Manager of Collective Investment Schemes and as such is governed in terms of
CISCA.
The Manager has entered into an Investment Management Agreement with Anchor Capital (Pty) Ltd
(FSP Number: 39834), in terms of which Anchor will manage the underlying portfolio and execute
transactions to reflect these changes on behalf of the Manager.
FirstRand Bank Limited, acting through Rand Merchant Bank Custody Services Division will act as the
independent Trustee and will fulfil its duties as specified in the Act and the Regulations thereto.
3. Summary of the Listing
3.1 Issue size: 1,000
3.2 Issue price: R10 (1000 Zac)
3.3 Investment Policy:
The Portfolio is an actively managed exchange traded fund ("AMETF"). Its primary objective is to
achieve long-term capital growth by investing predominantly in global equity securities listed on
recognised foreign exchanges. The Portfolio will be managed in accordance with the investment
limitations applicable to the ASISA Global – Equity – General portfolio classification category.
The Portfolio will follow a research-driven investment strategy, informed by the Manager's macro-
economic outlook and market assessments. Investments will predominantly include individual global
equity securities and participatory interests in portfolios of collective investment schemes that align with
the Portfolio's objectives, selected through robust due diligence, across all industry groups and market
capitalisations appropriate to the Portfolio's global equity profile. The strategy emphasises capital
growth while managing volatility, with an investment risk profile consistent with high equity exposure.
To achieve its objective, the Portfolio will invest predominantly in global equity securities and global
participatory interests in equity portfolios of collective investment schemes, including ETFs, consistent
with the ASISA Global – Equity – General portfolio classification category. Assets in liquid form will
include cash held in the Portfolio's bank accounts, participatory interests in money market portfolios of
collective investment schemes, and money market instruments for liquidity management purposes.
The Portfolio may also include listed and unlisted financial instruments, long-term deposits, listed
property, bonds, debentures, securitised debt, and warrants, certificates, or other instruments that
acknowledge, confer, or create rights to subscribe to, acquire, dispose of, or convert securities and
instruments, subject to applicable legislation. The Portfolio is permitted to invest in foreign assets and
in listed and unlisted financial instruments in accordance with the conditions set out in legislation.
The Portfolio may include participatory interests or other forms of participation in portfolios of collective
investment schemes or similar schemes and may invest in exchange traded funds or exchange traded
notes, whether organised as a collective investment scheme or not. Where such schemes are domiciled
outside South Africa, participatory interests will only be included if the regulatory environment is deemed
satisfactory by the Manager and Trustee and provides investor protection at least equivalent to that in
South Africa.
Investors may acquire participatory interests in the Portfolio on the secondary market or by subscribing
for new participatory interests on the primary market. To facilitate this, the Manager may, subject to the
Act and the Deed, create and issue or redeem and cancel an unlimited number of participatory interests
in the Portfolio.
Nothing in the supplemental deed precludes the Manager from varying asset allocations to maximise
capital growth and investment potential in response to changing economic conditions or market
requirements, or from retaining cash or placing cash on deposit in accordance with the Deed, provided
the Portfolio remains compliant with the requirements of the Act. The Trustee shall ensure that the
investment policy set out in the Deed and all supplemental deeds is implemented.
3.4. Salient Dates and Times
Publication of the listing announcement on SENS and distribution of Supplement Monday, 11 May 2026
Listing Date at 09:00 Monday, 25 May 2026
4. Documentation
Copies of the Programme Memorandum and the Supplement can be obtained on the EasyETFs website
at https://etfs.easyequities.co.za/easyetf-instrument-page/aageet.
The distribution of the Supplement and the offer or sale of participatory interests may be restricted by
law in certain jurisdictions. Persons in whose possession the Supplement or any other participatory
interests come must inform themselves about, and observe, any such restrictions.
Cape Town
11 May 2026
Listing Advisor
Prescient Capital Markets (Pty) Ltd
Designated Person
Ben Meyer
Date: 11-05-2026 05:21:00
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