Funds | Effective Date | Tax 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 | 3/12/2025 | 719.71 | 575.92 | 719.71 | 525.62 | (0.55) | 2.59 | 11.78 | 8.35 |
Allan Gray Equity Fund | 3/12/2025 | 1068.94 | 911.24 | 1068.94 | 781.06 | (1.04) | 1.88 | 12.72 | 8.82 |
Allan Gray Optimal Fund C | 3/12/2025 | 251.16 | - | 257.76 | - | 0.44 | 4.49 | 6.38 | 5.93 |
Allan Gray Orbis Global Balanced Feeder Fund A | 3/12/2025 | - | - | 567.40 | - | (0.36) | 6.10 | 11.31 | 12.19 |
Allan Gray Orbis Global Equity Feeder Fund A | 3/12/2025 | - | - | 743.95 | - | (2.09) | (0.51) | 4.01 | 11.80 |
Allan Gray Relative Equity Fund | 3/12/2025 | 1559.35 | 1243.24 | 1559.35 | - | (0.53) | 0.46 | 15.51 | 6.74 |
Allan Gray Stable Fund | 3/12/2025 | 482.73 | 374.15 | 482.73 | 352.53 | (0.15) | 2.76 | 9.46 | 7.75 |
Balanced Fund (High equity) | 3/12/2025 | 681.40 | 471.83 | 681.40 | - | (0.22) | 0.02 | 12.58 | 8.61 |
Balanced Fund (Low equity) with 3% guarantee | 3/12/2025 | 547.84 | 384.40 | 547.84 | - | (0.12) | 0.70 | 11.10 | 8.16 |
Balanced Fund (Low equity) | 3/12/2025 | 927.45 | 642.90 | 927.45 | 550.05 | (0.12) | 0.70 | 11.11 | 8.17 |
Balanced Fund (Low Equity) | 3/12/2025 | 547.84 | 384.40 | 547.84 | 338.19 | (0.12) | 0.70 | 11.10 | 8.16 |
Balanced Fund (Medium equity) | 3/12/2025 | 641.01 | 452.13 | 641.01 | - | (0.18) | 0.23 | 11.60 | 8.41 |
Balanced Fund with 3% guarantee | 3/12/2025 | 927.45 | 642.90 | 927.45 | 550.05 | (0.12) | 0.70 | 11.11 | 8.17 |
Balanced Fund with 4.5% guarantee | 3/12/2025 | 927.45 | 642.90 | 927.45 | 550.05 | (0.12) | 0.70 | 11.11 | 8.17 |
Balanced Fund | 3/12/2025 | - | - | 1090.77 | - | 0.09 | 0.89 | - | - |
Baroque BCI Moderato Fund of Funds B | 3/12/2025 | - | - | 290.27 | - | (0.68) | (1.39) | 7.60 | 7.58 |
Bond Fund | 3/12/2025 | 503.86 | 298.53 | 503.86 | - | (0.09) | 0.21 | 17.34 | 11.63 |
Corion BCI Growth Fund | 3/12/2025 | - | - | 198.16 | - | (0.29) | 0.17 | 10.37 | 8.24 |
Coronation Balanced Defensive Fund P | 3/12/2025 | - | - | 309.68 | - | (0.36) | 1.13 | 10.78 | 9.49 |
Coronation Balanced Plus Fund | 3/12/2025 | 349.58 | 343.22 | 412.86 | - | (0.99) | (0.78) | 13.24 | 9.38 |
Coronation Capital Plus Fund P | 3/12/2025 | - | - | 298.55 | - | (0.66) | 0.71 | 12.44 | 10.11 |
Coronation Equity Fund | 3/12/2025 | 952.88 | 783.32 | 952.88 | 684.30 | (2.49) | (0.09) | 20.82 | 12.03 |
Coronation Market Plus Fund P | 3/12/2025 | - | 366.18 | 416.02 | 361.41 | (0.94) | (0.73) | 15.61 | 10.98 |
Coronation Market Plus Fund P | 3/12/2025 | 663.48 | 532.01 | 663.48 | 490.55 | (0.94) | (0.78) | 15.51 | 10.94 |
Coronation Money Market Fund | 3/12/2025 | - | - | 208.61 | - | 0.01 | 1.56 | 6.94 | 6.95 |
Coronation Optimum Growth (ZAR) Feeder Fund | 3/12/2025 | 496.97 | 431.03 | 496.97 | - | (1.77) | 2.52 | 8.22 | 9.87 |
Coronation Property Equity Fund A | 3/12/2025 | 484.61 | 368.79 | 483.99 | 372.88 | (0.47) | (7.36) | 15.14 | 14.49 |
Coronation Relative Equity Fund | 3/12/2025 | 1999.57 | 1548.24 | 1999.57 | - | 0.60 | (0.29) | 20.27 | 11.52 |
Coronation Strategic Income Fund | 3/12/2025 | 403.05 | 263.51 | 403.05 | 255.09 | 0.01 | 1.48 | 9.76 | 9.40 |
Coronation Top 20 Fund | 3/12/2025 | - | 380.13 | 424.15 | - | (0.84) | 1.26 | 21.61 | 8.90 |
CS BCI Aggressive Prudential Fund of Funds B | 3/12/2025 | - | - | 206.01 | - | (0.70) | (0.70) | 8.66 | 6.24 |
Denker SCI Equity Fund B2 | 3/12/2025 | 652.29 | 556.25 | 652.29 | 566.94 | (1.12) | (2.97) | 19.84 | 9.56 |
Denker SCI Global Equity Feeder Fund B2 (ZAR) | 3/12/2025 | 428.70 | 379.30 | 428.70 | 341.74 | (1.31) | 0.76 | 3.55 | 12.29 |
Denker SCI Global Equity Feeder Fund B2 | 3/12/2025 | - | 272.75 | 345.56 | 272.75 | (0.61) | 0.40 | 4.12 | 15.62 |
Diversified Balanced Fund | 3/12/2025 | - | - | 155.02 | - | (0.14) | 0.16 | 11.83 | 8.65 |
Diversified Stable Fund | 3/12/2025 | - | - | 147.60 | - | (0.14) | 1.35 | 10.55 | 8.44 |
Diversified Wealth Builder | 3/12/2025 | - | - | 161.28 | - | 0.04 | 0.93 | 12.79 | 9.47 |
Diversified Wealth Builder | 3/12/2025 | - | - | 140.19 | - | 0.04 | 0.98 | 12.95 | 9.58 |
Element SCI Balanced Fund | 3/12/2025 | 351.57 | - | 359.62 | - | (0.80) | (0.65) | 7.47 | 6.95 |
Foord Balanced Fund B1 | 3/12/2025 | - | - | 227.42 | - | (0.76) | 1.47 | 13.54 | 6.71 |
Foord Equity Fund B1 | 3/12/2025 | 511.54 | 416.34 | 511.54 | - | (0.67) | (2.15) | 23.45 | 12.16 |
Glacier Money Market Fund | 3/12/2025 | 120.88 | 11643.53 | 120.88 | 116.80 | 0.02 | 1.78 | 7.92 | 7.59 |
Glacier Money Market Fund | 3/12/2025 | 1135.39 | 1090.69 | 1135.39 | 1095.12 | 0.02 | 1.71 | 7.47 | - |
Guaranteed Capital Fund | 3/12/2025 | 597.36 | 408.34 | 597.36 | 414.02 | 0.02 | 2.20 | 8.72 | 8.23 |
Guaranteed Property Fund | 3/12/2025 | - | 729.00 | - | - | - | 1.62 | 5.84 | 3.09 |
International Balanced Fund | 3/12/2025 | - | 300.38 | 267.62 | - | 0.23 | 0.24 | 2.11 | 9.75 |
International Balanced with Guarantee | 3/12/2025 | - | - | - | - | - | - | - | - |
International Equity Fund | 3/12/2025 | - | 374.86 | 363.96 | - | (0.02) | (1.71) | 4.49 | 14.34 |
International Money Market Fund (US$) | 3/12/2025 | - | - | 141.66 | - | 0.66 | 4.25 | 1.43 | 2.85 |
International Property Fund | 3/12/2025 | - | - | 552.39 | - | 0.02 | 0.41 | 1.35 | 3.57 |
M and G Dividend Maximiser Fund | 3/12/2025 | - | - | 409.76 | - | (0.96) | 0.45 | 17.83 | 7.54 |
M and G Inflation Plus Fund | 3/12/2025 | - | - | 296.56 | - | (0.31) | 0.62 | 12.12 | 7.65 |
Multi-Manager Balanced Fund (High equity) | 3/11/2025 | 1029.89 | 760.06 | 1029.89 | 698.92 | (0.56) | (0.68) | 12.34 | 10.12 |
Multi-Manager Balanced Fund (Low equity) with 3% guarantee | 3/12/2025 | 525.02 | 375.26 | 525.02 | 354.27 | (0.21) | (0.55) | 12.32 | 9.47 |
Multi-Manager Balanced Fund (Low equity) | 3/12/2025 | 811.34 | 554.51 | 811.34 | 440.27 | (0.21) | (0.55) | 12.30 | 9.47 |
Multi-Manager Balanced Fund (Low Equity) | 3/12/2025 | 525.02 | 375.26 | 525.02 | 354.27 | (0.21) | (0.55) | 12.32 | 9.47 |
Multi-Manager Balanced Fund (Medium equity) | 3/12/2025 | 566.85 | 420.45 | 566.85 | 430.45 | (0.19) | (0.63) | 12.61 | 9.53 |
Multi-Manager Balanced with Guarantee | 3/12/2025 | 685.08 | 475.79 | 685.08 | 440.27 | (0.21) | (0.55) | 12.32 | 9.47 |
Multi-Manager Equity Fund | 3/12/2025 | 1455.63 | 1165.77 | 1455.63 | - | (0.36) | (1.65) | 14.11 | 11.03 |
Nedgroup Investments Managed Fund B2 | 3/12/2025 | 320.36 | - | 320.36 | - | (0.61) | 0.46 | 18.92 | 8.86 |
Nedgroup Investments Rainmaker Fund | 3/12/2025 | 518.59 | 454.56 | 519.15 | - | (0.59) | 3.18 | 17.37 | 8.86 |
Nedgroup Investments Select Defensive Fund of Funds A1 | 3/12/2025 | - | 270.68 | - | - | - | - | - | - |
Nedgroup Investments Stable Fund A2 | 3/12/2025 | - | - | 301.18 | - | (0.53) | 2.74 | 10.36 | 5.50 |
Ninety One Cautious Managed Fund B | 3/12/2025 | 350.82 | 267.01 | 350.82 | - | (0.52) | 1.68 | 9.15 | 8.44 |
Ninety One Equity Fund | 3/12/2025 | 767.36 | 633.38 | 767.36 | - | (0.71) | (3.03) | 13.19 | 6.07 |
Ninety One Global Strategic Equity Feeder Fund | 3/12/2025 | - | - | 599.97 | - | (2.27) | 0.24 | 4.75 | 11.70 |
Ninety One Global Strategic Managed Feeder Fund B | 3/12/2025 | - | - | 412.53 | - | (1.97) | (1.54) | (0.10) | 1.19 |
Ninety One High Income Fund B | 3/12/2025 | 338.71 | - | 338.71 | - | 0.01 | 1.80 | 7.87 | 7.98 |
Ninety One Managed Fund E | 3/12/2025 | 609.94 | 494.25 | 609.94 | 437.39 | (0.82) | 2.08 | 8.08 | 5.73 |
Ninety One Opportunity Fund E | 3/12/2025 | - | - | 353.22 | - | (0.98) | 1.97 | 9.64 | 9.83 |
Ninety One Relative Equity Fund | 3/12/2025 | 1540.20 | 1157.97 | 1540.20 | - | (0.78) | (4.16) | 16.13 | 4.15 |
Ninety One Value Fund B | 3/12/2025 | - | 324.74 | 363.43 | - | (0.65) | (4.47) | 33.89 | 18.37 |
Noble PP Wealth Creator Fund of Funds A | 3/12/2025 | - | - | 255.68 | - | (0.33) | (1.15) | 6.17 | 6.20 |
NUR Balanced Fund | 3/12/2025 | - | 156.78 | 173.40 | 163.44 | (0.49) | 0.36 | 8.28 | 5.59 |
NUR Equity Fund | 3/12/2025 | 922.54 | 747.29 | 922.54 | 677.44 | (0.59) | (0.32) | 10.30 | 4.73 |
Offshore Balanced Fund (series 2) | 3/11/2025 | - | - | 381.91 | - | (1.12) | (0.49) | 1.74 | 9.59 |
Offshore Balanced Fund | 3/11/2025 | 541.76 | 357.56 | 541.76 | - | (1.25) | (0.39) | 1.83 | 9.65 |
Offshore Equity Fund (series 2) | 3/11/2025 | - | - | 592.44 | - | (1.37) | (2.45) | 4.08 | 14.64 |
Offshore Equity Fund | 3/11/2025 | 664.90 | 459.55 | 664.90 | - | (1.45) | (2.41) | 4.18 | 14.73 |
Offshore Money Market Fund (US$) | 3/12/2025 | 228.04 | - | 228.04 | - | 0.66 | 4.25 | 1.48 | 2.88 |
Old Mutual Albaraka Balanced Fund B1 | 3/12/2025 | - | - | 201.78 | - | (0.85) | (0.80) | 6.35 | 6.86 |
Old Mutual Dynamic Floor Fund B1 | 3/12/2025 | 297.39 | - | 297.39 | - | (0.63) | (0.48) | 9.32 | 6.32 |
Old Mutual Equity Fund A | 3/12/2025 | 570.74 | - | 570.74 | - | (1.00) | (0.32) | 12.69 | 5.48 |
Old Mutual Equity Fund A | 3/12/2025 | - | - | 272.00 | - | (1.00) | (0.32) | 12.81 | 5.56 |
PPS Enhanced Yield Fund A | 3/12/2025 | - | - | 246.94 | - | 0.02 | 1.74 | 7.74 | 7.66 |
PPS Equity Fund A | 3/12/2025 | - | - | 292.13 | - | (0.80) | (1.21) | 20.93 | 7.89 |
PPS Moderate Fund of Funds A | 3/12/2025 | - | - | 289.23 | - | (0.64) | 0.41 | 11.22 | 8.08 |
PPS Worldwide Flexible Fund of Funds | 3/12/2025 | - | - | 314.37 | - | (0.85) | (0.64) | 9.19 | 8.22 |
Property Fund (Series 2) | 3/12/2025 | - | 1019.90 | - | - | - | - | - | - |
Property Fund | 3/12/2025 | 732.99 | 484.42 | 732.99 | - | 0.38 | (6.08) | 17.75 | 16.99 |
PSG Wealth Creator Fund of Funds D | 3/12/2025 | - | - | 547.47 | - | (1.17) | (1.23) | 15.95 | 7.75 |
PSG Wealth Moderate Fund of Funds D | 3/12/2025 | 335.21 | 327.72 | 396.23 | 8824.71 | (0.76) | 0.95 | 11.83 | 8.22 |
PSG Wealth Preserver Fund of Funds D | 3/12/2025 | 351.39 | 328.13 | 424.82 | 319.97 | (0.28) | 1.25 | 10.70 | 8.21 |
Sanlam Balanced Fund | 3/12/2025 | 142.71 | 132.46 | 142.76 | - | (0.17) | 0.19 | 11.53 | 8.28 |
Sanlam Balanced Fund | 3/12/2025 | 143.92 | - | 144.06 | - | (0.18) | 0.16 | 11.33 | 8.15 |
Sanlam Cautious Absolute Fund | 3/12/2025 | 429.86 | 304.50 | 429.86 | 285.68 | (0.07) | 1.32 | 8.78 | 7.75 |
Sanlam Cautious Absolute Fund | 3/12/2025 | 429.94 | 304.50 | 429.94 | 284.03 | (0.07) | 1.32 | 8.79 | 7.75 |
Sanlam Equity Fund | 3/12/2025 | 1433.55 | 1092.22 | 1433.55 | - | (0.51) | (0.39) | 14.76 | 10.37 |
Sanlam Income Optimiser | 3/12/2025 | - | - | 135.40 | - | (0.12) | 0.76 | 10.53 | 8.47 |
Sanlam Moderate Absolute Fund | 3/12/2025 | 484.02 | 358.15 | 484.02 | 332.71 | (0.07) | 1.11 | 10.43 | 8.46 |
Sanlam Moderate Absolute Fund | 3/12/2025 | 484.02 | 358.15 | 484.02 | 332.71 | (0.07) | 1.11 | 10.43 | 8.46 |
Sanlam Reg. 28 Property Equity Fund | 3/12/2025 | - | - | 149.81 | - | (0.22) | (0.35) | 12.66 | 8.23 |
Sanlam Stable Fund | 3/12/2025 | 139.55 | 128.47 | 139.63 | - | (0.12) | 0.65 | 10.91 | 7.94 |
Sanlam Wealth Builder | 3/12/2025 | 148.20 | 136.50 | 148.42 | - | (0.22) | (0.03) | 12.40 | 8.43 |
SATRIX Dynamic Balanced Fund B | 3/12/2025 | - | - | 156.99 | - | (0.34) | (0.10) | 13.25 | 10.79 |
SATRIX Low Equity Balanced Index Fund B1 | 3/12/2025 | 12798.96 | 12159.02 | 12798.96 | 12126.97 | (0.34) | 0.52 | 12.75 | 10.68 |
SATRIX Stable Fund | 3/12/2025 | - | - | 124.81 | - | (0.02) | 0.69 | 10.91 | 9.38 |
S-BRO BCI Moderate Fund of Funds | 3/12/2025 | - | 275.64 | 325.89 | - | (0.16) | (0.11) | 10.65 | 9.15 |
SI Flexible Income Fund | 3/12/2025 | 1220.56 | 1153.04 | 1220.56 | 1154.58 | (0.02) | 1.14 | 10.00 | 8.98 |
SIM Balanced Fund B4 | 3/12/2025 | - | 450.58 | - | 421.80 | - | - | - | - |
SIM Financial Fund B2 | 3/12/2025 | 669.14 | - | 669.14 | - | (0.64) | (6.57) | 19.49 | 12.91 |
SIM General Equity Fund B5 | 3/12/2025 | 813.41 | 655.79 | 813.41 | 619.01 | (0.79) | (0.43) | 20.56 | 8.08 |
SIM Industrial Fund B2 | 3/12/2025 | 1042.46 | 863.47 | 1042.46 | - | (1.23) | (0.54) | 22.52 | 9.51 |
SIM Inflation Plus Fund B6 | 3/12/2025 | - | 313.68 | - | 338.02 | - | - | - | - |
SIM Money Market Fund B2 | 3/12/2025 | 241.74 | 174.82 | 241.74 | - | 0.02 | 1.70 | 7.34 | 7.43 |
SIM Reg28 Property Equity Fund | 3/12/2025 | - | - | 256.66 | - | (0.22) | (0.30) | 12.90 | 8.47 |
SIM SA Active Income Fund | 3/12/2025 | 226.86 | 208.83 | 301.15 | - | 0.04 | 1.54 | 9.37 | 8.66 |
SIM Small Cap Fund B3 | 3/12/2025 | 598.45 | - | 598.45 | - | (1.04) | (10.77) | 16.34 | 8.36 |
SIM Top Choice Equity Fund B5 | 3/12/2025 | 363.02 | 375.35 | 447.75 | - | (0.78) | (0.62) | 17.90 | 4.95 |
SMM Aggressive Absolute Fund | 3/12/2025 | - | - | 629.43 | - | (0.10) | (0.62) | 10.99 | 9.89 |
SMM Aggressive Fund of Funds B1 | 3/12/2025 | - | 280.86 | - | - | - | - | - | - |
SMM Balanced Fund of Funds B3 | 3/12/2025 | - | 414.11 | - | - | - | - | - | - |
SMM Cash Fund | 3/12/2025 | - | - | 302.30 | - | 0.02 | 1.61 | 7.68 | 7.53 |
SMM Cautious Absolute Fund | 3/12/2025 | - | - | 464.99 | - | 0.02 | 0.73 | 9.65 | 8.43 |
SMM Cautious Absolute Return Fund with 0% guarantee | 3/12/2025 | 457.32 | 330.24 | 457.32 | 310.66 | 0.01 | 0.81 | 9.62 | 8.38 |
SMM Cautious Absolute Return Fund | 3/12/2025 | 457.32 | 330.24 | 457.32 | 310.66 | 0.01 | 0.81 | 9.62 | 8.38 |
SMM Moderate Absolute Fund | 3/12/2025 | 531.59 | 394.04 | 531.59 | 363.34 | (0.11) | (0.37) | 10.12 | 9.36 |
SMM Moderate Absolute Fund | 3/12/2025 | - | - | 558.71 | - | (0.11) | (0.26) | 10.42 | 9.65 |
SMM Moderate Absolute Fund | 3/12/2025 | 708.09 | 508.42 | 708.09 | 462.70 | (0.11) | (0.38) | 10.09 | 9.34 |
SMM Moderate Absolute Fund | 3/12/2025 | - | - | 558.71 | - | (0.11) | (0.26) | 10.42 | 9.65 |
SMM Moderate Fund of Funds B1 | 3/12/2025 | - | 245.65 | - | - | - | - | - | - |
SMM Moderately Aggressive Fund of Funds B1 | 3/12/2025 | - | 266.31 | - | - | - | - | - | - |
SRB Sanlam Share Fund | 3/12/2025 | - | - | 207.13 | - | 0.45 | (4.43) | 19.38 | 21.93 |
Vesting Bonus Fund | 3/12/2025 | 893.19 | 653.40 | 893.19 | 609.76 | 0.09 | 0.62 | 11.17 | 8.31 |
Worldwide Balanced Fund (series 2) | 3/11/2025 | - | - | 450.66 | - | (0.65) | - | 10.34 | 9.55 |
Worldwide Balanced Fund | 3/11/2025 | 833.30 | 539.99 | 833.30 | - | (0.64) | - | 10.27 | 9.51 |
Worldwide Equity Fund (series 2) | 3/11/2025 | - | - | 565.51 | - | (0.81) | (0.83) | 11.96 | 11.20 |
Worldwide Equity Fund | 3/11/2025 | 835.20 | 550.00 | 835.20 | - | (0.81) | (0.84) | 11.95 | 11.21 |
Worldwide Property Fund | 3/11/2025 | 853.91 | 629.97 | 853.91 | - | (0.69) | 0.71 | 4.55 | 4.17 |