South African--Multi Asset--High Equity
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Fixed Start Date Performance
Standard Period Performance
Fund Name
TER
3mths
RNK
1yr
RNK
3yrs
RNK
5yrs
RNK
Cum. %
since
Dec '22
RNK
Cum. %
since
Dec '20
RNK
10X Your Future Fund A
0.63
4.47
179
13.66
141
13.74
79
12.93
46
38.013
66
70.155
47
1NVEST High Equity Passive Balanced Fund of Funds A
0.56
6.72
80
16.11
62
14.41
48
12.42
64
39.597
41
69.917
53
27four Asset Select Fund of Funds A1
1.19
6.77
76
14.87
110
13.85
69
11.12
124
37.009
84
61.023
119
27four Shariah Balanced Fund of Funds A1
1.67
5.32
155
9.20
186
8.62
182
8.55
162
21.849
186
40.972
170
3B BCI Prudential Fund of Funds 3B2
2.68
8.34
17
16.38
54
-
-
38.723
52
-
4D BCI Moderate Fund of Funds A
2.24
7.23
47
14.73
115
12.50
141
11.71
97
31.741
164
64.233
87
ABAX Balanced Prescient Fund A1
0.90
8.37
16
23.68
3
19.01
4
18.41
4
52.929
4
114.257
1
Absa SCI Growth Fund of Funds A
1.96
5.27
160
14.26
128
14.13
58
11.56
104
39.362
42
61.462
113
Absa SCI Multi Managed Absolute Return Opportunity Fund A
1.48
5.76
137
13.70
140
13.69
83
11.50
110
36.439
93
61.998
105
Absa SCI Multi Managed Core Growth Fund C
1.41
5.27
159
13.60
142
13.91
64
11.51
109
38.155
62
61.986
106
ABSA SCI Multi Managed Passive Growth Fund B
0.82
7.18
49
16.32
56
16.34
10
13.17
38
45.149
11
74.308
27
Accorn BCI Balanced Fund B
1.33
6.38
106
13.00
157
12.74
128
10.93
133
33.529
145
60.935
122
ADB BCI Flexible Prudential Fund of Funds A
1.78
6.14
116
14.36
125
12.40
148
12.08
78
32.753
156
61.133
118
AF Investments Aggressive Passive Unit Trust A1
0.35
7.01
61
15.67
78
14.71
38
12.66
57
38.564
56
69.211
57
AF Investments Performer Managed Unit Trust A
1.15
7.32
40
15.95
70
13.61
84
12.26
72
36.772
89
64.970
81
AF Investments Real Return Focus Fund A
1.21
5.91
127
16.57
53
11.76
162
12.22
73
30.829
170
64.943
82
Affinity Ci Growth Fund A
1.73
5.26
161
13.95
134
13.43
92
10.11
150
37.720
72
53.500
156
Allan Gray Balanced Fund A
1.66
8.26
18
20.03
9
15.22
22
14.18
20
40.164
37
82.237
13
Allan Gray Tax-Free Balanced Fund A
1.49
8.17
20
19.74
13
15.31
20
13.97
21
40.241
36
81.260
15
Alusi RealFin Managed Fund B
0.69
4.09
184
18.29
23
-
-
42.018
22
-
Aluwani BCI Balanced Fund A
1.15
5.84
131
13.37
151
13.33
96
-
36.745
90
-
Amity BCI Managed Select Fund of Funds A
1.90
5.37
154
14.29
127
12.56
139
12.37
66
32.272
159
62.329
101
Ampersand BCI Balanced Fund of Funds A1
1.96
6.12
119
15.04
104
-
-
37.498
78
-
Amplify SCI Balanced Fund A1
1.16
7.12
54
17.63
31
13.73
82
12.85
52
35.723
105
71.374
39
Analytics Ci Balanced Fund of Funds A
2.21
4.22
180
10.06
185
11.10
172
9.34
157
28.133
180
50.361
162
Anchor BCI Diversified Growth Fund A
1.47
7.10
55
18.59
20
14.81
31
13.63
25
41.532
26
76.483
23
Anchor BCI Managed Fund A
1.50
6.33
109
17.19
39
14.31
51
11.83
92
42.176
21
63.453
93
APS Ci Managed Growth Fund A1
1.90
4.47
178
11.27
177
11.64
165
10.51
143
28.993
176
54.950
150
AS Forum BCI Aggressive Fund of Funds A
1.94
6.19
114
14.45
122
12.42
147
11.40
116
33.432
149
57.792
139
Assetbase CPI + 6% Prescient Fund of Funds A1
1.26
6.26
111
13.54
148
12.39
149
11.48
112
31.889
163
62.541
100
AssetMix Ci Balanced Fund A
1.40
6.59
86
15.39
88
14.71
37
12.80
54
39.290
43
70.505
43
Aureus Nobilis BCI Managed Fund A
2.56
4.92
168
14.38
124
11.20
170
10.54
141
31.225
168
54.256
151
Autus Prime Balanced Fund A
2.58
3.15
189
8.28
187
10.87
174
8.34
165
31.117
169
43.501
168
Autus Prime Diversified Fund A
0.77
3.04
190
12.09
171
12.05
157
12.07
81
35.584
108
59.845
127
Aylett Balanced Prescient Fund A1
1.22
8.76
10
17.85
27
14.13
59
17.98
5
32.999
153
99.696
6
BCI Best Blend Balanced Fund C
1.25
6.13
117
17.75
30
12.27
154
11.46
114
33.966
140
58.475
135
Bovest BCI Managed Fund of Funds A
1.56
6.39
105
15.84
73
13.03
109
11.61
101
36.081
100
60.014
125
Brenthurst BCI Balanced Fund of Funds A
1.80
6.82
70
15.21
97
12.85
120
9.95
153
35.881
101
57.247
141
Caleo BCI Balanced Fund of Funds A
2.62
-10.32
193
-6.01
193
3.41
189
4.50
171
5.148
193
16.400
178
Camissa Balanced Fund A
1.51
10.36
5
26.93
2
16.48
8
15.11
11
46.786
9
76.856
22
Camissa Islamic Balanced Fund A
1.50
5.86
130
12.52
162
8.03
184
11.31
119
20.533
188
51.789
160
Capita BCI Balanced Fund A
1.29
7.16
51
12.46
164
12.90
115
13.07
42
33.318
151
69.201
58
Celerity Ci Balanced Fund A
1.42
7.78
25
18.17
24
14.35
50
12.89
48
39.260
44
70.449
44
Celerity Ci Diversified Fund A
0.88
9.92
6
16.02
67
15.26
21
-
40.663
32
-
Celtis BCI Managed Fund of Funds A
1.85
5.07
165
12.44
165
12.82
122
11.01
127
34.668
128
56.645
146
Centaur BCI Balanced Fund A
2.12
6.49
96
12.40
166
16.31
11
14.41
18
47.339
7
73.083
31
Chrome Ci Growth Fund A
1.03
6.10
121
15.60
80
14.91
28
12.49
60
40.356
35
69.180
60
Cinnabar SCI Balanced Plus Fund of Funds A
1.88
6.65
84
15.60
81
14.61
42
12.09
77
38.260
60
66.409
73
Citadel Balanced H4 Fund B1
1.53
5.01
166
12.22
169
13.84
71
11.57
103
36.192
96
65.933
75
ClucasGray Equilibrium Prescient Fund A1
0.85
7.00
63
16.25
58
14.61
43
15.30
9
38.062
64
85.504
10
Cogence Discovery Balanced Dynamic Asset Optimiser FoF A
2.02
7.18
48
13.55
147
13.40
93
12.06
82
36.133
99
62.170
103
Cordatus Balanced Prescient Fund A2
1.30
7.12
53
15.19
98
13.77
74
12.90
47
36.601
92
70.590
42
Coronation Balanced Plus Fund A
1.63
10.81
4
22.23
6
16.73
7
14.47
17
47.370
6
75.478
24
Coronation Capital Plus Fund A
1.55
8.64
11
19.88
10
15.65
15
12.67
56
45.025
12
66.939
68
CS BCI Aggressive Prudential Fund of Funds B
2.61
6.76
78
14.43
123
13.30
97
10.77
135
34.277
134
53.708
154
CS BCI Prudential Fund of Funds B
2.57
6.58
87
13.57
145
11.93
159
9.27
159
31.240
167
44.500
166
Custodian IM BCI Balanced Fund A
1.37
6.80
72
17.27
37
14.72
36
11.53
107
40.059
38
63.547
90
Denker SCI Balanced Fund A
0.95
6.20
112
15.40
87
14.80
32
14.75
12
39.135
47
85.765
8
Discovery Balanced Fund A
2.00
8.61
12
15.77
74
12.34
152
11.55
105
33.057
152
58.733
132
Dotport BCI Prudential Fund of Funds A
2.59
4.97
167
10.19
183
9.86
179
9.18
160
26.614
183
46.194
165
Element SCI Balanced Fund A
2.13
6.68
81
11.98
172
12.27
155
11.00
130
32.819
155
62.904
97
Element SCI Islamic Balanced Fund A
1.98
2.39
191
3.04
191
6.18
186
6.97
169
14.339
192
35.240
174
Fairtree Balanced Prescient Fund A3
0.87
6.73
79
16.83
46
14.73
35
-
37.725
71
-
Fairtree Invest Strategic Factor Prescient Fund A1
1.07
6.50
95
14.47
120
14.67
41
12.89
49
36.928
85
69.187
59
FAL BCI Balanced Fund A
1.64
8.46
15
13.56
146
15.91
14
13.35
30
45.879
10
79.554
17
FG SCI Neptune Growth Fund of Funds A
1.49
6.79
73
14.60
116
12.73
129
12.29
69
33.456
148
63.508
92
Financial Fitness Balanced IP Fund of Funds A
1.29
5.30
158
13.12
156
14.14
57
10.51
142
39.959
39
57.244
142
Fisher Dugmore Ci Balanced Fund A
0.79
7.31
41
16.16
61
15.42
17
-
42.329
20
62.877
98
Flagship IP Balanced Fund A
2.22
9.29
8
18.87
15
11.10
173
8.81
161
30.466
173
42.384
169
FNB Core Balanced Fund A
0.33
6.38
107
16.06
65
13.47
91
-
37.834
69
-
FNB Growth Fund of Funds B1
1.17
7.05
58
17.31
36
14.68
40
12.64
59
39.209
45
69.430
55
FNB Multi Manager Balanced Fund A2
1.46
7.61
31
20.27
8
13.53
88
13.24
33
35.300
116
69.838
54
Foord Balanced Fund B4
1.44
4.67
172
15.07
101
12.70
132
10.56
139
35.552
109
58.268
136
Glacier AI Balanced Fund B
1.19
4.04
185
10.72
180
12.56
140
-
40.758
30
-
Gradidge Mahura Ci Growth Fund A
1.24
5.87
129
14.59
117
14.92
27
-
41.687
25
-
Granate BCI Balanced Fund B
1.05
11.28
3
14.59
118
20.42
3
18.72
3
66.268
3
107.010
3
Graviton SCI Balanced Fund A1
1.53
6.58
88
15.46
84
13.08
106
12.01
84
35.504
110
64.029
88
GraySwan SCI Aggressive Fund A
1.24
6.08
122
14.33
126
15.00
26
14.49
16
40.668
31
81.109
16
Gryphon Prudential Fund B
0.52
0.84
192
0.98
192
6.37
185
6.58
170
15.426
191
32.273
175
H4 Diversified Fund B1
0.82
6.39
104
15.27
94
14.79
33
12.32
68
38.451
58
70.900
41
High Street Balanced Prescient Fund B1
1.26
14.76
2
18.46
21
23.89
2
13.23
35
94.414
2
78.861
18
Hollard BCI Managed Growth Fund of Funds B
1.62
6.66
82
13.72
138
12.32
153
11.45
115
32.157
160
60.482
124
Imali BCI Passive Balanced Fund A
1.28
5.49
147
12.55
161
13.17
102
11.28
121
35.663
107
61.289
116
Interactive Balanced Prescient Fund of Funds A
1.85
5.88
128
13.92
135
11.70
163
-
29.357
175
-
Investec BCI Balanced High Equity Fund A
1.52
6.15
115
14.54
119
14.76
34
13.22
36
38.453
57
72.624
33
Investec BCI Diversified Growth FoF A
1.73
5.32
156
16.63
50
13.86
67
-
37.647
75
68.086
62
Investhouse Ci Balanced Fund A
1.63
4.10
183
11.16
178
12.69
133
10.17
149
35.798
103
56.840
143
IP Active Beta Fund A
0.95
5.41
149
13.26
153
11.92
160
10.20
148
33.844
141
52.340
159
JBL SCI Managed Fund of Funds B1
1.45
5.97
126
15.28
92
13.53
89
11.53
106
35.706
106
61.508
112
Kruger Balanced Prescient Fund A
1.09
4.49
177
10.15
184
11.64
166
10.50
144
30.533
172
54.109
152
Long Beach Managed Prescient Fund A1
1.59
16.26
1
33.74
1
27.56
1
15.15
10
104.113
1
76.857
21
Lynx Prime Balanced Fund of Funds A
2.66
6.32
110
15.92
72
12.90
117
11.59
102
35.337
114
61.752
111
M&G Balanced Fund I
1.70
7.07
56
18.68
18
13.56
86
13.39
28
36.171
97
74.458
26
Marriott Balanced Fund of Funds A
2.18
3.95
186
10.75
179
9.64
180
7.43
167
25.844
184
38.382
172
Matrix SCI Balanced Fund B1
1.00
5.20
163
16.20
59
12.79
124
12.07
80
34.605
129
70.211
46
Median BCI Balanced Fund of Funds A
2.03
5.81
134
17.33
35
12.83
121
12.00
85
35.213
119
63.539
91
Merchant West SCI Balanced Plus Fund A1
1.61
5.61
143
13.75
137
12.57
138
9.27
158
31.941
162
58.498
134
Merchant West SCI Managed P&G Fund A
1.21
5.79
136
14.95
108
12.93
112
15.53
8
35.482
111
83.337
11
Methodical BCI Balanced Fund A
1.65
5.58
145
14.01
132
12.43
145
11.20
122
34.076
138
59.240
131
MI-PLAN IP Balanced Plus Fund B5
1.09
5.71
140
10.54
181
12.49
143
9.64
156
33.460
147
50.205
163
Momentum Focus 6 Fund of Funds A
1.82
7.26
43
15.30
90
12.68
137
11.89
90
34.790
127
61.826
110
Momentum Focus 7 Fund of Funds A
1.83
7.73
28
15.43
85
12.98
111
12.26
71
35.393
113
64.294
86
Momentum Target 6 Fund of Funds A
1.01
6.96
65
14.84
111
12.87
119
11.65
99
34.964
125
62.051
104
Momentum Target 7 Fund of Funds A
0.95
7.53
33
15.06
102
13.20
100
12.13
75
35.187
121
64.483
84
Multi Asset IP Balanced Plus Fund B1
1.23
6.47
98
15.28
91
13.40
94
11.82
94
36.415
94
61.929
109
MyQ Ci Growth Fund A
1.70
6.81
71
14.83
112
13.20
99
12.07
79
35.282
118
67.483
65
Nedgroup Investments Balanced Fund A2
1.32
9.84
7
22.70
5
12.68
134
12.94
44
34.160
136
67.474
66
Nedgroup Investments Core Accelerated Fund B
0.46
7.01
62
17.15
41
15.38
18
14.64
14
44.583
13
81.524
14
Nedgroup Investments Core Diversified Fund B
0.45
6.50
93
16.71
49
14.54
45
13.36
29
41.810
24
73.820
30
New Road BCI Managed Fund of Funds A
1.28
8.10
22
15.03
105
13.86
68
11.46
113
38.055
65
60.772
123
NFB Ci Managed Fund A
0.88
6.52
92
15.43
86
13.74
78
11.96
86
37.622
76
65.757
77
NFB Ci Managed Growth Fund of Funds A
1.26
6.54
89
14.98
107
14.05
61
11.86
91
39.166
46
66.624
70
Ninety One Managed Fund R
1.17
8.22
19
16.04
66
11.62
167
9.96
152
35.165
122
53.813
153
Ninety One Opportunity Fund A
1.96
5.73
138
14.22
129
13.88
65
10.28
147
38.854
51
59.426
130
Noble PP BCI Wealth Creator Fund of Funds A
2.77
5.71
139
11.88
173
10.73
175
6.97
168
29.681
174
35.622
173
Northstar BCI Managed Fund A1
1.59
6.04
123
17.80
29
13.75
77
11.78
96
38.917
49
66.328
74
Novare High Growth Fund A1
1.52
7.25
45
15.16
99
12.43
146
11.01
128
33.370
150
63.874
89
Oasis Balanced Unit Trust Fund D
1.69
4.67
173
10.43
182
10.62
176
9.92
154
28.336
179
57.306
140
Oasis Crescent Balanced High Equity Fund of Funds D
1.76
4.80
169
7.95
189
9.48
181
8.45
164
25.180
185
50.386
161
Obsidian SCI Balanced Fund B1
1.25
7.24
46
17.83
28
13.48
90
13.24
34
35.330
115
65.128
80
Octagon SCI Growth Fund of Funds B1
1.85
7.02
59
15.53
82
12.76
127
11.52
108
34.573
131
61.002
121
Old Mutual Balanced Fund A
1.60
6.13
118
15.70
76
12.38
150
12.28
70
33.693
143
62.850
99
Old Mutual Core Balanced Fund A
0.70
7.76
27
16.00
68
15.14
23
13.32
31
43.605
14
73.848
29
Old Mutual Multi-Managers Aggressive Balanced Fund of Funds A
2.00
7.16
50
14.90
109
13.02
110
12.65
58
35.187
120
65.466
78
Old Mutual Multi-Managers Balanced Fund of Funds A
1.97
6.44
100
14.04
131
12.49
142
11.90
89
33.736
142
61.352
115
Optimum BCI Managed Growth Fund C
1.55
6.03
124
15.94
71
12.68
136
11.62
100
34.594
130
63.348
94
Oyster Catcher RealFin Balanced Fund A
0.97
7.69
30
19.83
12
16.37
9
-
46.989
8
83.179
12
Palmyra BCI Balanced Fund A
1.64
6.95
66
14.47
121
12.91
114
10.86
134
34.323
133
62.291
102
PBi BCI Balanced Fund of Funds A
1.14
7.41
36
18.87
14
14.19
54
13.01
43
39.864
40
72.313
35
Perpetua SCI Balanced Fund A
0.98
7.38
39
18.05
25
15.96
13
13.53
26
38.013
67
72.187
36
Personal Trust Managed Fund A
1.49
5.83
133
13.50
149
13.74
80
11.93
87
36.663
91
68.668
61
Personal Trust Prudent Fund of Funds A
2.14
7.77
26
17.56
33
13.85
70
13.29
32
36.412
95
72.675
32
Perspective Balanced Prescient Fund A1
1.24
5.81
135
16.92
45
15.12
24
17.03
6
43.057
15
99.743
5
PFPS Ci Balanced Fund of Funds A
1.55
6.78
74
13.90
136
12.34
151
11.06
125
31.613
165
59.467
129
Pinnacle Wealth Balanced Prescient Fund of Funds A1
1.19
7.02
60
16.34
55
15.09
25
13.40
27
40.517
33
73.930
28
Plexus Wealth BCI Balanced Fund A
1.73
4.77
171
12.27
167
11.94
158
10.73
137
32.447
158
57.854
138
PMK Managed Prescient Fund of Funds A3
1.43
6.90
68
14.83
113
15.33
19
13.91
22
42.553
19
75.443
25
PortfolioMetrix BCI Balanced Fund of Funds A
1.16
7.07
57
15.23
95
14.68
39
-
41.212
27
72.021
37
PPS Balanced Fund of Funds A2
1.27
6.53
90
17.02
43
13.76
75
14.19
19
38.214
61
77.814
19
PPS Balanced Passive Fund A2
0.49
6.49
97
16.80
47
14.18
55
13.18
37
38.078
63
70.097
49
PPS Managed Fund A2
1.30
6.50
94
17.25
38
14.25
53
14.73
13
42.634
17
85.553
9
Prescient Balanced Fund A2
0.48
7.15
52
17.00
44
14.89
30
12.94
45
42.810
16
67.771
64
Prime Shiraz Prudential Aggressive Fund of Funds A
2.02
7.79
24
18.83
16
14.26
52
13.88
23
37.188
81
71.731
38
PrivateClient BCI High Equity Fund B
1.87
5.39
151
17.05
42
12.90
116
11.82
93
34.474
132
64.350
85
PSG Balanced Fund A
1.79
8.59
13
19.85
11
17.01
6
19.52
1
41.885
23
109.983
2
PSG Investment Management Growth Fund of Funds D
1.37
8.59
14
23.12
4
16.06
12
18.81
2
42.557
18
105.670
4
PSG Wealth Moderate Fund of Funds A
2.31
7.89
23
17.63
32
13.57
85
12.48
62
37.498
79
66.929
69
PWM Balanced Prescient Fund of Funds A1
1.27
6.97
64
16.73
48
14.41
49
-
38.907
50
-
PWS BCI Moderate Fund of Funds A
1.76
5.19
164
12.77
160
12.91
113
10.94
131
35.028
123
56.685
145
Quantum BCI Managed Fund C
1.80
5.39
152
12.92
159
11.47
168
10.06
151
31.381
166
52.466
158
Rebalance SCI Balanced Fund of Funds A
1.99
5.42
148
12.21
170
12.68
135
11.04
126
34.260
135
56.522
147
Red Oak BCI Balanced Fund A
1.65
4.14
181
11.77
174
11.13
171
10.28
146
28.889
178
49.719
164
Rezco Managed Plus Fund A
2.12
3.22
188
7.59
190
6.11
188
3.95
173
16.806
189
20.492
177
Rezco Value Trend Fund A
2.01
3.49
187
8.20
188
6.14
187
4.30
172
15.680
190
21.187
176
Rowan Capital BCI Balanced Fund of Funds A
1.79
4.61
174
13.19
154
13.76
76
12.86
50
38.708
53
69.406
56
Roxburgh Ci Balanced Plus Fund of Funds A
1.24
6.61
85
16.09
64
14.60
44
13.07
41
39.102
48
70.017
50
RSA BCI Balanced Fund A
1.31
7.38
37
16.10
63
12.71
130
10.76
136
32.591
157
55.681
149
S BRO BCI Managed Fund of Funds A
2.44
5.63
142
11.72
175
11.46
169
10.54
140
28.920
177
52.783
157
SA Asset Management BCI Balanced Fund of Funds A
2.04
5.99
125
17.33
34
14.44
47
10.94
132
40.473
34
59.531
128
Sage BCI Long Term Solution FoF A2
1.63
6.10
120
14.11
130
12.81
123
12.45
63
33.636
144
61.247
117
Sanlam Multi Manager SCI Aggressive Fund of Funds A1
1.39
8.10
21
18.43
22
14.14
56
13.15
39
38.354
59
69.980
51
Sanlam Multi Manager SCI Balanced Fund of Funds A2
1.75
7.48
34
14.77
114
12.78
125
12.18
74
33.515
146
63.323
95
Sanlam Multi Manager SCI Moderate Aggressive Fund of Funds A1
1.29
7.55
32
16.30
57
13.56
87
12.49
61
36.860
87
66.584
71
Sanlam Multi Manager SCI Moderate Fund of Funds A1
1.18
6.83
69
15.62
79
12.71
131
11.01
129
35.010
124
61.015
120
Sanlam Private Wealth SCI Balanced Fund
1.88
4.50
175
13.60
143
11.76
161
9.88
155
30.654
171
56.747
144
Sasfin BCI Prudential Fund A1
1.19
5.41
150
12.47
163
8.55
183
8.28
166
21.303
187
39.727
171
Seed Balanced Prescient Fund A1
1.78
5.37
153
15.75
75
14.07
60
11.67
98
38.572
55
61.981
107
Select BCI Balanced Fund A
1.44
6.43
101
15.96
69
14.91
29
13.76
24
37.957
68
70.268
45
Select BCI Enhanced Core Balanced Fund A
0.50
6.19
113
15.67
77
13.84
72
-
36.927
86
69.969
52
Select Manager BCI Balanced Fund of Funds A
1.73
6.76
77
15.49
83
13.73
81
12.02
83
37.691
73
64.773
83
Sentio SCI Balanced Fund B3
1.68
4.11
182
13.71
139
10.48
177
-
26.711
182
-
Sentio SCI HIKMA Shariah Balanced Fund A1
1.11
4.49
176
12.26
168
10.16
178
10.44
145
27.884
181
53.561
155
Sequoia BCI Managed Growth Fund of Funds A
1.59
6.42
102
15.27
93
12.06
156
11.32
118
32.109
161
58.588
133
Signature BCI Balanced Fund of Funds A
2.42
6.42
103
13.58
144
13.29
98
11.50
111
35.400
112
61.962
108
SIM SCI Managed Aggressive Fund of Funds A1
1.04
7.70
29
17.89
26
13.14
105
12.86
51
35.807
102
70.117
48
SIM SCI Managed Moderate Aggressive Fund of Funds A1
1.03
7.27
42
17.19
40
13.04
107
12.36
67
35.785
104
67.830
63
Simplisiti BCI Managed Protector Fund of Funds A
2.11
7.25
44
13.34
152
12.87
118
11.35
117
34.887
126
58.074
137
Southern Charter BCI Growth Fund of Funds A
1.87
6.53
91
16.19
60
13.40
95
14.52
15
35.292
117
76.944
20
STANLIB Multi-Asset Growth Fund B1
1.38
5.53
146
13.96
133
-
-
37.782
70
-
Star BCI Balanced Fund A
1.73
4.77
170
12.94
158
11.66
164
8.47
163
34.003
139
43.526
167
Starfunds.ai BCI Balanced Fund of Funds C
1.56
5.83
132
13.13
155
13.14
104
12.82
53
34.154
137
72.377
34
Sygnia CPI + 6% Fund A
1.45
6.77
75
15.06
103
13.03
108
11.81
95
37.076
83
61.417
114
Sygnia Skeleton Balanced 70 Fund A
0.46
7.38
38
16.62
51
14.54
46
12.38
65
40.782
29
66.444
72
Synergy Ci Growth Fund A
1.43
5.21
162
13.41
150
14.04
62
11.18
123
36.134
98
62.936
96
Trésor SCI Balanced Fund B1
2.01
6.94
67
15.15
100
12.44
144
11.29
120
32.954
154
59.899
126
TRG Balanced Prescient Fund of Funds A1
1.60
6.33
108
15.34
89
13.15
103
12.71
55
36.772
88
67.161
67
Visio BCI Balanced Fund A
1.45
9.14
9
21.59
7
18.29
5
16.26
7
49.044
5
96.426
7
Wealth Associates BCI Balanced Fund of Funds A
1.39
5.30
157
15.01
106
13.99
63
13.13
40
38.597
54
71.030
40
Wealthpoint BCI Balanced Fund A
1.20
5.60
144
11.51
176
12.77
126
-
37.656
74
-
Wealthworks Prime Managed Fund of Funds A
1.71
6.65
83
16.61
52
13.87
66
12.12
76
37.564
77
65.301
79
Weaver BCI Balanced Fund of Funds A
1.17
7.41
35
18.63
19
13.78
73
11.92
88
37.269
80
65.852
76
WellsFaber SCI Balanced Fund of Funds A
1.30
5.68
141
15.22
96
13.17
101
10.61
138
37.183
82
56.000
148
Woodland Ci Balanced Fund A
1.31
6.46
99
18.75
17
15.46
16
-
40.910
28
-
Profile Data Average
6.41
/193
15.08
/193
13.36
/189
11.94
/173
36.56
/193
64.56
/178