Investment funds

Daily unit prices

To view price history, select the relevant date below and click the search button.

Choose a fund category
Stratus only funds are applicable to investments before November 1999.

Stratus and Stratus Premier

FundsEffective DateTax Exempt Fund
(c)
Private Investor
(c)
Retirement Fund
(c)
Corp. Investor
(c)
Daily Move
(%)
3 Months Move
(%)
1 Year Move
(%)
2 Year Move
(%)
Allan Gray Balanced Fund
11/22/2024702.35564.37702.35515.12(0.19)1.5512.6810.66
Allan Gray Equity Fund
11/22/20241048.41895.941048.41767.25(0.20)1.9415.0411.91
Allan Gray Optimal Fund C
11/22/2024239.31-245.56-0.260.825.801.98
Allan Gray Orbis Global Balanced Feeder Fund A
11/22/2024--539.98-(0.78)0.0917.3916.39
Allan Gray Orbis Global Equity Feeder Fund A
11/22/2024--759.87-(0.37)1.4720.3820.83
Allan Gray Relative Equity Fund
11/22/20241543.711233.811543.71-0.131.4613.937.90
Allan Gray Stable Fund
11/22/2024471.01366.65471.01346.09(0.13)1.6410.779.28
Balanced Fund (High equity)
11/22/2024679.52470.73679.52-0.272.6515.4710.25
Balanced Fund (Low equity) with 3% guarantee
11/22/2024542.91382.01542.91-0.302.4812.709.41
Balanced Fund (Low equity)
11/22/2024919.11638.92919.11547.840.302.4812.709.42
Balanced Fund (Low Equity)
11/22/2024542.91382.01542.91336.850.302.4812.709.41
Balanced Fund (Medium equity)
11/22/2024637.28450.30637.28-0.252.5513.989.98
Balanced Fund with 3% guarantee
11/22/2024919.11638.92919.11547.840.302.4812.709.42
Balanced Fund with 4.5% guarantee
11/22/2024919.11638.92919.11547.840.302.4812.709.42
Balanced Fund
11/22/2024--1075.81-0.332.68--
Baroque BCI Moderato Fund of Funds B
11/22/2024--291.19-0.043.2613.849.81
Bond Fund
11/22/2024501.14299.34501.14-0.254.8418.4412.41
Corion BCI Growth Fund
11/22/2024--196.00-0.283.0314.1210.56
Coronation Balanced Defensive Fund P
11/22/2024--302.79-(0.09)3.5313.1811.57
Coronation Balanced Plus Fund
11/22/2024344.93338.64406.73-(0.14)4.8717.6712.64
Coronation Capital Plus Fund P
11/22/2024--291.61-(0.13)4.2815.5512.79
Coronation Equity Fund
11/22/2024910.84751.50910.84659.44(0.30)8.5821.9913.05
Coronation Market Plus Fund P
11/22/2024-363.98412.96359.39(0.15)5.5020.2214.50
Coronation Market Plus Fund P
11/22/2024659.04529.08659.04488.06(0.15)5.4620.1114.48
Coronation Money Market Fund
11/22/2024--204.71-0.011.687.096.93
Coronation Optimum Growth (ZAR) Feeder Fund
11/22/2024473.43412.36473.43-(0.41)4.5013.6213.81
Coronation Property Equity Fund A
11/22/2024505.54384.33504.94385.97(0.15)7.9237.7217.23
Coronation Relative Equity Fund
11/22/20241958.491519.101958.49-(0.32)2.1019.5111.42
Coronation Strategic Income Fund
11/22/2024395.03259.95395.03251.560.062.4710.669.64
Coronation Top 20 Fund
11/22/2024-372.51414.61-(0.15)0.2516.2810.09
CS BCI Aggressive Prudential Fund of Funds B
11/22/2024--205.66-0.192.4012.219.03
Denker SCI Equity Fund B2
11/22/2024660.00563.18660.00571.050.335.6521.0613.58
Denker SCI Global Equity Feeder Fund B2 (ZAR)
11/22/2024423.10374.77423.10338.13(0.41)1.1816.0717.71
Denker SCI Global Equity Feeder Fund B2
11/22/2024-274.07345.54274.071.281.1615.8920.90
Diversified Balanced Fund
11/22/2024--153.30-0.073.1814.2310.39
Diversified Stable Fund
11/22/2024--144.80-0.042.3711.759.76
Diversified Wealth Builder
11/22/2024--158.64-0.142.9714.7310.93
Diversified Wealth Builder
11/22/2024--137.81-0.143.0014.8211.01
Element SCI Balanced Fund
11/22/2024353.38-361.34-0.080.9411.619.74
Foord Balanced Fund B1
11/22/2024--222.22-0.232.8113.1110.86
Foord Equity Fund B1
11/22/2024511.81416.68511.81-0.305.4221.8116.69
Glacier Money Market Fund
11/22/2024118.2811473.05118.28115.110.021.978.167.24
Glacier Money Market Fund
11/22/20241112.071077.191112.071080.670.021.847.66-
Guaranteed Capital Fund
11/22/2024581.66400.39581.66405.960.022.178.367.87
Guaranteed Property Fund
11/22/2024-718.51---3.860.950.92
International Balanced Fund
11/22/2024-299.72268.07-1.010.9010.0013.62
International Balanced with Guarantee
11/22/2024-299.72-----(100.00)
International Equity Fund
11/22/2024-378.64370.50-1.133.2217.3619.42
International Money Market Fund (US$)
11/22/2024--138.73-0.761.560.014.86
International Property Fund
11/22/2024--569.77-1.101.9413.918.25
M and G Dividend Maximiser Fund
11/22/2024--396.62-(0.28)3.4814.749.57
M and G Inflation Plus Fund
11/22/2024--290.85-0.012.2212.339.51
Multi-Manager Balanced Fund (High equity)
11/21/20241029.20767.701029.20703.56(0.03)2.9016.8211.88
Multi-Manager Balanced Fund (Low equity) with 3% guarantee
11/22/2024525.77376.25525.77354.080.473.1515.5111.29
Multi-Manager Balanced Fund (Low equity)
11/22/2024812.46555.99812.46440.070.473.1515.5011.29
Multi-Manager Balanced Fund (Low Equity)
11/22/2024525.77376.25525.77354.080.473.1515.5111.29
Multi-Manager Balanced Fund (Medium equity)
11/22/2024567.58422.17567.58431.730.442.9516.0911.68
Multi-Manager Balanced with Guarantee
11/22/2024686.02477.01686.02440.070.473.1515.5111.28
Multi-Manager Equity Fund
11/22/20241463.241172.501463.24-0.563.5619.1814.00
Nedgroup Investments Managed Fund B2
11/22/2024313.48-313.48-0.292.9515.828.49
Nedgroup Investments Rainmaker Fund
11/22/2024485.31428.58485.77-0.062.6711.788.81
Nedgroup Investments Select Defensive Fund of Funds A1
11/22/2024-265.45-----(100.00)
Nedgroup Investments Stable Fund A2
11/22/2024--291.94-0.142.029.888.06
Ninety One Cautious Managed Fund B
11/22/2024342.38261.79342.38-(0.09)1.8110.079.73
Ninety One Equity Fund
11/22/2024783.76646.10783.76-0.433.4317.6710.10
Ninety One Global Strategic Equity Feeder Fund
11/22/2024--593.77-(0.82)(1.67)16.0218.88
Ninety One Global Strategic Managed Feeder Fund B
11/22/2024--414.10-(0.86)(1.40)8.105.67
Ninety One High Income Fund B
11/22/2024331.42-331.42-0.032.017.967.89
Ninety One Managed Fund E
11/22/2024594.28482.91594.28428.75(0.30)1.1410.977.40
Ninety One Opportunity Fund E
11/22/2024--342.03-(0.29)1.9711.4912.36
Ninety One Relative Equity Fund
11/22/20241593.781195.541593.78-0.943.9517.178.07
Ninety One Value Fund B
11/22/2024-324.10362.65-0.1511.5542.2522.97
Noble PP Wealth Creator Fund of Funds A
11/22/2024--256.46-0.353.0212.638.81
NUR Balanced Fund
11/22/2024-155.65171.75166.370.190.9810.446.51
NUR Equity Fund
11/22/2024920.16746.47920.16676.380.380.9211.644.87
Offshore Balanced Fund (series 2)
11/21/2024--383.49-(0.31)1.1111.4713.48
Offshore Balanced Fund
11/21/2024543.12358.73543.12-(0.39)1.0411.4813.41
Offshore Equity Fund (series 2)
11/21/2024--604.59-(0.19)3.3818.9219.31
Offshore Equity Fund
11/21/2024677.98467.81677.98-(0.22)3.4218.9419.36
Offshore Money Market Fund (US$)
11/22/2024223.33-223.33-0.751.580.064.88
Old Mutual Albaraka Balanced Fund B1
11/22/2024--201.65-0.100.7510.529.07
Old Mutual Dynamic Floor Fund B1
11/22/2024296.51-296.51-0.091.6911.737.26
Old Mutual Equity Fund A
11/22/2024567.85-567.85-0.112.0413.537.17
Old Mutual Equity Fund A
11/22/2024--270.58-0.112.0713.657.26
PPS Enhanced Yield Fund A
11/22/2024--241.75-0.021.997.947.48
PPS Equity Fund A
11/22/2024--290.88-0.582.7318.499.07
PPS Moderate Fund of Funds A
11/22/2024--285.13-0.101.8413.049.77
PPS Worldwide Flexible Fund of Funds
11/22/2024--311.89-0.272.0114.9611.56
Property Fund (Series 2)
11/22/2024-1008.74------
Property Fund
11/22/2024759.21501.39759.21-0.817.7141.3117.56
PSG Wealth Creator Fund of Funds D
11/22/2024--545.00-0.153.5317.7010.40
PSG Wealth Moderate Fund of Funds D
11/22/2024328.60321.20387.818650.44(0.06)2.5213.8910.67
PSG Wealth Preserver Fund of Funds D
11/22/2024344.14321.35416.02313.380.032.3211.549.74
Sanlam Balanced Fund
11/22/2024141.93132.00141.97-0.252.5413.869.82
Sanlam Balanced Fund
11/22/2024143.21-143.34-0.242.5113.699.73
Sanlam Cautious Absolute Fund
11/22/2024421.33301.35421.33281.17-1.889.008.22
Sanlam Cautious Absolute Fund
11/22/2024421.25301.35421.25282.80-1.888.998.21
Sanlam Equity Fund
11/22/20241425.191088.901425.19-0.122.9017.2212.23
Sanlam Income Optimiser
11/22/2024--134.06-0.242.7312.009.36
Sanlam Moderate Absolute Fund
11/22/2024476.17355.94476.17330.120.062.5311.499.50
Sanlam Moderate Absolute Fund
11/22/2024476.17355.94476.17330.120.062.5311.499.50
Sanlam Reg. 28 Property Equity Fund
11/22/2024--149.92-0.292.5716.029.98
Sanlam Stable Fund
11/22/2024138.35127.73138.44-0.302.4612.449.18
Sanlam Wealth Builder
11/22/2024147.91136.26148.10-0.272.6015.3010.08
SATRIX Dynamic Balanced Fund B
11/22/2024--156.69-0.772.8818.2613.13
SATRIX Low Equity Balanced Index Fund B1
11/22/202412719.8212128.2312719.8212092.840.433.3815.7912.41
SATRIX Stable Fund
11/22/2024--123.66-0.402.3914.5110.58
S-BRO BCI Moderate Fund of Funds
11/22/2024-274.32322.68-0.352.9414.9911.04
SI Flexible Income Fund
11/22/20241201.601141.791201.601142.830.112.4911.019.49
SIM Balanced Fund B4
11/22/2024-449.59-419.71---(100.00)
SIM Financial Fund B2
11/22/2024716.27-716.27-0.766.1829.9018.27
SIM General Equity Fund B5
11/22/2024806.91652.11806.91613.910.432.3519.199.48
SIM Industrial Fund B2
11/22/20241007.32838.151007.32-0.366.9621.9813.47
SIM Inflation Plus Fund B6
11/22/2024-310.56-333.70----
SIM Money Market Fund B2
11/22/2024236.82172.64236.82-0.021.807.547.29
SIM Reg28 Property Equity Fund
11/22/2024--256.70-0.302.6216.3110.24
SIM SA Active Income Fund
11/22/2024223.68205.89294.87-0.062.259.628.56
SIM Small Cap Fund B3
11/22/2024665.79-665.79-0.649.8129.5714.18
SIM Top Choice Equity Fund B5
11/22/2024362.05374.26445.57-0.440.2018.296.56
SMM Aggressive Absolute Fund
11/22/2024--628.80-0.383.1514.4712.02
SMM Aggressive Fund of Funds B1
11/22/2024-280.09------
SMM Balanced Fund of Funds B3
11/22/2024-418.78------
SMM Cash Fund
11/22/2024--296.40-0.021.957.877.47
SMM Cautious Absolute Fund
11/22/2024--460.10-0.292.3610.649.51
SMM Cautious Absolute Return Fund with 0% guarantee
11/22/2024452.28328.24452.28308.190.282.3510.579.47
SMM Cautious Absolute Return Fund
11/22/2024452.28328.24452.28308.190.282.3510.579.47
SMM Moderate Absolute Fund
11/22/2024530.26394.36530.26362.360.402.9513.5811.14
SMM Moderate Absolute Fund
11/22/2024--556.98-0.382.9813.5911.53
SMM Moderate Absolute Fund
11/22/2024706.41508.77706.41461.410.402.9513.5711.12
SMM Moderate Absolute Fund
11/22/2024--556.98-0.382.9813.5911.53
SMM Moderate Fund of Funds B1
11/22/2024-244.90------
SMM Moderately Aggressive Fund of Funds B1
11/22/2024-266.55------
SRB Sanlam Share Fund
11/22/2024--216.76-(0.56)5.1630.8128.07
Vesting Bonus Fund
11/22/2024883.81646.71883.81604.080.322.4012.049.57
Worldwide Balanced Fund (series 2)
11/21/2024--446.70-(0.06)1.8014.1411.68
Worldwide Balanced Fund
11/21/2024826.08536.16826.08-(0.05)1.7914.0611.65
Worldwide Equity Fund (series 2)
11/21/2024--564.11-(0.05)2.5717.4913.57
Worldwide Equity Fund
11/21/2024833.05550.20833.05-(0.05)2.5617.4713.56
Worldwide Property Fund
11/21/2024859.99635.50859.99-(0.47)3.418.175.15
  • Prices are published for the purposes of information only and are not guaranteed.
  • Performance is calculated net of asset manager charges.

Contact Details

Sales / Product related information

Tel: 0860 223 390
Fax: (021) 947-9864

Information on existing policies

Tel: 0860SANLAM / 0860 726 526
Fax: (021) 947-9440
International tel: +27 21 916-5000
International fax: +27 21 947-9864
Email: online.advice@sanlam.co.za