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Fairtree Global Emerging Markets Prescient Fund  |  Global–Equity–General
1.5271    -0.0035    (-0.229%)
NAV price (ZAR) Tue 29 Apr 2025 (change prev day)


Fund: Fairtree Global Emerging Markets Prescient Fund
 
  • Income bar frequency: 1 quarter
  • Chart reflects TRI
  •  
                 
     
     Initial Investment:  Period:   Invested From: Invested To: Performance:  
    R  
     
    TRI NAV  

    TRI Performance (%)
    Fund Name 1
    Year
    3
    Years
    5
    Years
    7
    Years
    10
    Years
    p.a.* cumulative*
    Fairtree Global Emerging Markets Prescient Fund A1 9.07 16.07 9.28 - - 9.28 55.81
    Global--Equity--General 6.58 12.65 9.91 11.92 10.31 9.91 60.38
    *Custom Period
    *Note: All returns are annualised, except the 'cumulative' column which shows unannualised performance for the custom period.
    Income Produced (Rand)
    Fund Name 1
    Year
    3
    Years
    5
    Years
    7
    Years
    10
    Years
    Custom
    Period
    Fairtree Global Emerging Markets Prescient Fund A1 1 652.72 5 918.15 5 896.16 - - 5 896.16