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2.1327
+0.0210
(+0.994%)
NAV price (ZAR) Tue 4 Nov 2025 (change prev day)
Fund Performance
| Period Return %Growth of R1 000 |
 |
| * Not annualised |
| Period Return %Growth of R1 000 |
 |
| * Not annualised |
Key Facts and Fund Objective
| Key Facts |
| Formation Date | 3 Dec 2019 |
| Fund Size (ZAR) | 859 769 337 |
| Latest Price | 213.27 |
| PlexCrowns | |
| Total Expense Ratio (30/06) | 1.39% |
| Minimum Investment | R10 000 |
| TTM Distribution Yield | - |
| Key Facts |
| Formation Date | 3 Dec 2019 |
| Fund Size (ZAR) | 859 769 337 |
| Latest Price | 213.27 |
| PlexCrowns | |
| Total Expense Ratio (30/06) | 1.39% |
| Minimum Investment | R10 000 |
| TTM Distribution Yield | - |
| Fund Objective |
The Global Fund is a fully flexible and actively managed long only fund with an objective to earn a higher total rate of return than the FTSE in USD terms. It aims to achieve this without a greater risk of loss over the long term.
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|
| Fund Objective |
The Global Fund is a fully flexible and actively managed long only fund with an objective to earn a higher total rate of return than the FTSE in USD terms. It aims to achieve this without a greater risk of loss over the long term.
|
|
| Fund Objective |
The Global Fund is a fully flexible and actively managed long only fund with an objective to earn a higher total rate of return than the FTSE in USD terms. It aims to achieve this without a greater risk of loss over the long term.
|
|
| Fund Objective |
The Global Fund is a fully flexible and actively managed long only fund with an objective to earn a higher total rate of return than the FTSE in USD terms. It aims to achieve this without a greater risk of loss over the long term.
|
|