South African--Multi Asset--High Equity
< Back to Index
Click to view Quarterly run up to the awards for this sector.
Fixed Start Date Performance
Standard Period Performance
Fund Name
TER
3mths
RNK
1yr
RNK
3yrs
RNK
5yrs
RNK
Cum. %
since
Dec '21
RNK
Cum. %
since
Dec '19
RNK
10X Your Future Fund A
0.64
5.27
164
18.37
130
11.46
60
11.43
39
26.397
92
66.409
44
10X Your Future Fund T
0.64
5.27
163
18.37
129
11.57
52
-
26.674
83
-
10X Your Future Fund P
0.35
5.35
159
18.71
115
11.71
44
-
27.356
65
-
1NVEST High Equity Passive Balanced Fund of Funds A
0.52
6.47
68
21.37
43
10.75
88
9.80
133
25.340
110
56.812
131
27four Asset Select Fund of Funds A1
1.55
5.44
148
19.40
92
10.02
149
9.36
165
22.531
183
53.805
157
27four Shariah Balanced Fund of Funds A1
1.87
2.68
222
11.53
230
6.71
227
7.37
202
12.761
232
39.717
204
3B BCI Prudential Fund of Funds 3B1
1.99
5.92
110
18.30
133
10.99
74
11.97
24
27.819
59
69.530
28
4D BCI Moderate Fund of Funds A
2.20
5.91
111
17.77
151
10.17
136
10.70
82
23.928
154
60.683
98
Abax Balanced Prescient Fund A1
0.90
9.64
5
22.77
16
17.10
2
15.12
3
44.924
2
92.553
4
ABSA Sanlam Growth Fund of Funds A
2.09
5.66
126
20.72
53
10.72
90
9.66
143
25.124
116
56.644
132
Absa Sanlam Multi Managed Absolute Return Opportunity Fund A
1.79
5.01
181
15.28
201
10.41
113
9.84
129
26.266
96
55.869
135
ABSA Sanlam Multi Managed Core Growth Fund C
1.51
4.70
188
17.90
146
10.34
116
9.47
157
25.015
123
53.941
156
ABSA Sanlam Multi Managed Passive Growth Fund A
0.45
6.01
106
21.90
31
13.10
17
11.82
29
31.718
28
71.456
24
ABSA Sanlam Multi Managed Passive Growth Fund B
0.86
5.90
113
21.41
40
12.64
21
10.92
67
30.264
32
64.871
53
Accorn BCI Balanced Fund B
2.13
6.25
82
19.62
85
10.99
73
10.51
97
28.579
46
63.191
71
ADB BCI Flexible Prudential Fund of Funds A
1.84
5.38
156
18.13
139
9.31
189
11.03
60
21.659
195
62.165
79
Adviceworx Old Mutual Inflation plus 4-5% Fund of Funds B1
1.71
5.35
158
18.52
121
9.30
190
10.38
104
21.946
191
60.682
99
AF Investments Aggressive Passive Fund A1
0.36
4.85
185
18.32
131
11.42
61
11.59
31
24.122
150
69.810
27
AF Investments Performer Managed Fund A
1.26
5.53
137
18.47
124
9.68
174
10.50
98
24.108
151
60.956
96
AF Investments Real Return Focus Fund A
1.22
6.90
47
17.66
153
10.18
135
9.40
163
27.046
73
53.197
163
Affinity Ci Growth Fund A
1.62
5.48
145
20.84
51
9.74
171
8.04
197
22.424
187
44.227
198
Allan Gray Balanced Fund C
1.48
5.56
131
14.40
213
12.05
28
11.41
40
33.844
18
67.264
38
Allan Gray Balanced Fund A
1.65
5.52
140
14.22
217
11.87
33
11.22
49
33.230
22
65.950
48
Allan Gray Tax-Free Balanced Fund A
1.47
5.51
143
14.26
216
12.08
27
11.25
46
34.217
17
66.214
45
Allan Gray Tax-Free Balanced Fund C
1.30
5.55
135
14.45
212
12.27
25
11.44
37
34.837
15
67.538
37
Aluwani BCI Balanced Fund A
1.27
5.02
180
20.19
70
9.84
162
-
23.026
174
-
Amity BCI Managed Select Fund of Funds A
1.84
6.96
43
20.03
73
10.36
115
9.87
127
25.040
122
55.248
143
Amplify SCI Balanced Fund A1
1.16
5.99
108
16.89
169
10.71
93
-
27.077
72
-
Analytics Ci Balanced Fund of Funds A
2.10
4.15
208
14.28
215
9.34
187
8.53
188
19.450
214
47.227
189
Anchor BCI Diversified Growth Fund A
1.54
8.16
15
20.70
54
12.44
22
11.06
59
32.205
26
64.840
54
Anchor BCI Managed Fund A
1.53
6.14
89
22.15
23
9.84
163
9.74
137
24.823
130
56.101
134
APS Ci Managed Growth Fund A1
1.86
4.43
199
15.24
202
10.03
147
9.58
153
20.624
204
53.248
162
AS Forum BCI Aggressive Fund of Funds A
2.05
6.80
51
20.47
61
10.08
142
10.22
112
23.960
153
59.024
114
Ashburton Balanced Fund A1
1.52
5.28
162
18.65
117
11.32
63
9.17
171
27.086
70
52.916
164
Ashburton Balanced Fund A
1.28
5.35
160
18.92
110
11.58
50
9.42
162
27.909
57
54.545
151
Assetbase CPI + 6% Prescient Fund of Funds A1
1.19
4.31
201
15.13
204
10.43
111
8.95
179
23.320
169
50.160
176
AssetMix Ci Balanced Fund A
1.42
5.56
134
18.53
120
11.74
41
11.16
56
29.789
37
64.731
55
Aureus Nobilis BCI Managed Fund A
1.93
6.49
65
16.98
167
9.00
197
8.19
193
21.939
192
44.598
194
Autus Prime Balanced Fund A
2.59
3.22
220
16.08
189
10.09
141
9.61
147
20.467
206
54.531
152
Autus Prime Diversified Fund A
0.86
4.54
193
19.82
78
10.89
79
11.17
54
24.458
142
66.088
47
Aylett Balanced Prescient Fund A1
1.21
7.04
42
17.58
158
12.67
20
14.39
6
28.945
43
90.380
9
BCI Best Blend Balanced Fund C
1.00
7.72
24
20.59
57
8.70
205
8.45
190
20.263
208
44.902
193
BlueAlpha BCI Balanced Fund C
1.27
6.94
44
23.63
8
11.59
48
11.21
50
25.196
112
62.927
72
Bovest BCI Managed Fund of Funds A
1.52
6.37
74
19.27
96
9.61
177
10.54
92
22.895
175
59.150
113
Brenthurst BCI Balanced Fund of Funds A
1.76
4.47
196
16.99
166
8.71
204
7.18
203
21.439
199
38.767
206
Caleo BCI Balanced Fund of Funds A
2.15
4.57
191
15.12
205
5.49
234
5.64
214
10.541
235
27.485
216
Camissa Balanced Fund A
1.51
9.17
10
21.42
38
10.14
139
10.68
85
24.555
138
55.416
141
Camissa Islamic Balanced Fund A
1.50
4.23
205
9.72
235
5.96
232
9.59
151
10.657
234
52.099
168
Capita BCI Balanced Fund A
1.48
5.76
123
18.29
134
11.95
31
10.15
118
31.927
27
57.640
125
Celerity Ci Balanced Fund B
1.25
8.88
12
22.52
17
11.86
34
11.36
42
30.617
31
65.133
52
Celerity Ci Balanced Fund A
1.36
8.85
13
22.40
20
11.75
40
11.24
47
30.260
33
64.347
58
Celerity Ci Diversified Fund A
0.81
0.38
233
13.45
221
9.97
153
-
17.663
220
-
Celtis BCI Managed Fund of Funds A
1.89
4.92
183
18.51
122
9.51
181
10.88
70
23.621
161
61.044
94
Centaur BCI Balanced Fund A
1.74
8.13
16
26.70
3
11.89
32
14.21
8
33.460
21
85.548
12
Chrome Ci Growth Fund A
1.02
5.40
155
20.52
58
11.82
36
11.19
53
27.961
56
66.890
39
Cinnabar SCI Balanced Plus Fund of Funds A
1.82
6.50
63
21.41
41
11.53
55
10.44
102
27.666
60
61.061
93
Citadel Balanced H4 Fund B1
1.56
2.25
225
12.70
223
11.74
42
9.58
152
26.133
98
54.664
148
ClucasGray Equilibrium Prescient Fund A1
0.85
9.63
6
22.10
24
13.31
15
12.61
18
36.032
12
74.508
20
Cogence Discovery Balanced Dynamic Asset Optimiser FoF A
2.03
5.20
172
20.28
67
10.19
133
11.11
58
21.111
201
65.714
50
Cordatus Balanced Prescient Fund A2
1.31
6.31
80
18.99
106
10.22
131
11.43
38
24.885
125
73.052
22
Cordatus Balanced Prescient Fund A1
0.91
6.42
70
19.47
89
10.66
96
11.88
27
26.269
95
76.405
19
Coronation Balanced Plus Fund P
1.18
6.00
107
20.30
65
10.83
81
11.96
25
26.719
80
69.131
29
Coronation Balanced Plus Fund A
1.64
5.88
114
19.75
81
10.32
121
11.45
36
25.130
115
65.487
51
Coronation Capital Plus Fund P
1.08
5.76
124
18.26
135
10.83
80
10.23
109
28.461
49
60.635
100
Coronation Capital Plus Fund A
1.54
5.64
129
17.72
152
10.33
120
9.73
138
26.848
76
57.168
127
CS BCI Aggressive Prudential Fund of Funds B
2.70
4.82
186
16.88
171
8.82
202
10.15
120
22.552
182
56.390
133
CS BCI Prudential Fund of Funds B
2.57
4.53
194
14.63
209
6.93
225
8.18
195
18.149
218
43.783
200
Custodian IM BCI Balanced Fund A
1.46
7.28
33
21.72
32
11.46
59
8.97
177
28.262
53
49.906
180
Denker Sanlam Collective Investments Balanced Fund A
0.99
6.78
54
19.17
102
13.71
11
13.00
15
36.879
10
81.792
16
Discovery Balanced Fund A
1.99
5.24
171
19.32
95
8.76
203
9.16
172
19.231
215
51.822
170
Dotport BCI Prudential Fund of Funds A
2.08
5.86
116
15.48
197
8.51
208
7.11
206
19.541
213
38.168
208
Easy IP Balanced Fund A
2.09
2.55
224
22.07
28
7.78
216
12.12
21
16.744
224
68.309
32
Easy IP Balanced Fund C
2.09
2.55
223
22.07
27
7.78
217
12.12
20
16.742
225
68.307
33
Element Balanced Sanlam Collective Investments Fund A
2.19
3.05
221
12.17
226
9.18
195
8.23
192
21.698
194
45.163
191
Element Islamic Balanced Sanlam Collective Investments Fund A
2.01
1.57
231
8.89
236
5.53
233
7.12
205
10.464
236
36.976
210
Fairtree Balanced Prescient Fund A3
1.69
7.18
36
21.41
42
13.28
16
-
33.615
20
-
Fairtree Balanced Prescient Fund A1
1.25
7.33
31
22.17
22
13.88
9
15.25
2
35.831
13
90.672
7
Fairtree Balanced Prescient Fund A2
1.08
7.38
30
22.40
21
14.10
6
15.47
1
36.550
11
92.416
5
Fairtree Invest Strategic Factor Prescient Fund A1
1.06
5.60
130
21.45
37
12.38
23
-
29.777
38
-
FAL BCI Balanced Fund A
2.54
1.01
232
13.51
219
11.50
57
10.89
68
24.855
128
62.074
81
FG SCI Neptune Growth Fund of Funds A
1.57
5.44
150
16.35
181
10.19
134
10.82
74
25.874
104
61.822
83
Financial Fitness Balanced IP Fund of Funds A
1.28
3.92
211
16.71
176
10.60
102
9.50
155
27.406
64
53.494
160
Fisher Dugmore Ci Balanced Fund A
0.80
5.25
168
21.15
46
10.14
140
-
23.725
157
-
Flagship IP Balanced Fund A
2.20
6.20
85
16.12
186
4.68
235
8.62
184
8.675
237
44.484
196
FNB Core Balanced Fund A
0.26
5.26
165
19.20
101
10.30
126
-
24.747
133
-
FNB Growth Fund of Funds B1
1.21
6.67
57
20.42
62
11.21
67
10.71
79
25.297
111
62.241
77
FNB Multi Manager Balanced Fund A2
1.49
7.30
32
16.25
183
9.67
175
10.43
103
24.882
126
58.921
115
Foord Balanced Fund B4
1.43
6.84
49
17.00
165
10.16
137
10.53
95
27.856
58
60.479
102
Foord Balanced Fund A
1.30
6.94
45
17.33
162
10.31
124
10.51
96
28.176
54
60.444
103
Foord Balanced Fund B2
0.83
7.05
40
17.84
149
10.80
84
11.01
61
29.772
39
63.897
64
Glacier AI Balanced Fund B
1.19
6.80
52
19.22
100
-
-
28.869
45
-
Gradidge Mahura Ci Growth Fund A
1.23
5.43
153
21.19
45
10.73
89
-
27.200
68
-
Granate BCI Balanced Fund B
1.12
7.94
22
37.91
1
17.96
1
-
52.650
1
-
Graviton SCI Balanced Fund A1
1.52
6.32
79
18.88
111
10.50
107
10.14
121
25.041
121
58.374
120
GraySwan SCI Aggressive Fund of Funds A
1.26
3.70
215
17.40
161
12.88
18
11.48
34
31.624
29
66.688
42
GraySwan SCI Aggressive Fund of Funds B
0.68
3.85
213
18.08
141
13.53
14
12.12
22
33.718
19
71.300
25
Gryphon Prudential Fund B
0.54
0.23
237
5.13
237
8.12
211
10.15
119
21.646
196
59.448
109
H4 Diversified Fund B1
0.84
4.17
206
16.85
173
11.77
39
10.71
80
26.075
99
63.296
70
High Street Balanced Prescient Fund B1
1.24
0.36
234
23.55
10
11.35
62
13.66
12
26.204
97
84.864
13
High Street Balanced Prescient Fund A1
1.53
0.29
235
23.19
13
11.03
70
13.33
14
25.187
113
82.350
14
Hollard BCI Managed Growth Fund of Funds B
1.57
4.68
190
15.95
191
9.60
179
9.61
145
20.282
207
55.533
139
Imali BCI Passive Balanced Fund A
1.30
3.32
219
14.30
214
10.38
114
10.21
114
22.830
176
59.602
108
Investec BCI Diversified Growth FoF A
1.87
6.62
58
20.24
68
10.23
129
-
23.864
155
-
Investhouse Ci Balanced Fund A
1.57
4.45
197
18.45
126
10.22
130
9.91
126
24.477
141
57.062
128
IP Active Beta Fund A
0.93
6.06
99
19.53
88
9.97
152
9.83
130
22.649
179
57.722
123
IP Prudential Equity Fund A
1.38
4.29
202
15.82
194
7.61
220
7.95
199
15.899
227
43.610
201
JBL Sanlam Collective Investments Managed Fund of Funds B1
1.54
5.34
161
16.65
179
10.34
117
9.27
168
26.414
91
50.570
173
Kruger Ci Balanced Fund A
1.64
5.16
173
16.24
184
9.70
173
10.57
89
22.442
186
61.400
89
Long Beach Managed Prescient Fund A1
1.61
7.21
34
31.01
2
8.62
206
12.92
16
22.248
188
81.814
15
Lynx Prime Balanced Fund of Funds A2
1.71
6.36
75
19.22
98
9.92
157
10.78
76
24.716
134
63.857
65
Lynx Prime Balanced Fund of Funds A1
1.71
6.36
76
19.22
99
9.92
156
10.81
75
24.715
135
64.042
63
Lynx Prime Balanced Fund of Funds A
2.63
6.11
94
18.12
140
8.91
198
-
21.599
197
-
M&G Balanced Fund A
1.43
6.40
73
17.81
150
10.61
101
10.56
91
25.918
102
61.621
87
M&G Balanced Fund I
1.71
6.32
78
17.47
160
10.29
127
10.26
108
24.930
124
59.421
110
Marriott Balanced Fund of Funds D
1.31
6.36
77
17.86
148
8.23
209
7.06
207
20.554
205
39.384
205
Marriott Balanced Fund of Funds A
2.17
6.13
93
16.85
172
7.31
223
6.14
212
17.742
219
33.804
211
Marriott Balanced Fund of Funds C
1.59
6.28
81
17.52
159
7.92
215
6.75
208
19.612
212
37.504
209
Matrix SCI Balanced Fund B1
1.02
7.99
20
20.73
52
10.49
108
10.88
69
28.872
44
63.691
66
Median BCI Balanced Fund of Funds A
2.19
7.98
21
19.61
86
9.85
161
9.61
146
24.595
137
54.744
146
Merchant West SCI Balanced Plus Fund A1
1.57
6.79
53
20.30
66
11.62
46
7.91
200
29.366
41
45.320
190
Merchant West SCI Managed P&G Fund D
0.91
10.19
2
25.63
5
11.82
35
9.61
149
32.622
24
54.232
153
Merchant West SCI Managed P&G Fund A1
0.91
10.19
1
25.64
4
11.80
37
9.60
150
32.552
25
54.153
154
Merchant West SCI Managed P&G Fund A
1.20
10.10
3
25.28
6
11.48
58
9.28
166
31.504
30
52.072
169
Methodical BCI Balanced Fund A
1.67
4.51
195
16.89
170
9.80
167
10.10
122
23.401
164
58.541
118
Methodical BCI Balanced Fund B
1.48
4.55
192
17.11
164
10.01
150
10.31
107
24.026
152
59.928
106
MI-PLAN IP Balanced Plus Fund B5
1.08
4.38
200
18.78
113
9.94
154
8.56
186
24.508
140
49.305
184
Momentum Focus 6 Fund of Funds A
1.79
5.52
141
18.98
108
9.60
178
8.91
180
22.155
190
49.727
182
Momentum Focus 7 Fund of Funds A
1.79
5.13
175
18.68
116
9.74
170
8.99
176
21.938
193
50.432
174
Momentum Target 6 Fund of Funds A
0.98
5.91
112
19.00
105
9.84
164
9.18
170
23.725
156
51.308
171
Momentum Target 7 Fund of Funds A
0.93
5.56
133
18.99
107
9.82
165
9.37
164
23.310
170
52.366
166
Multi Asset IP Balanced Plus Fund B1
1.22
5.24
169
17.93
145
9.91
158
10.67
86
23.393
165
61.102
92
MyQ Ci Growth Fund of Funds A
1.74
5.24
170
16.12
187
10.90
78
10.17
117
27.421
63
58.192
121
Nedgroup Investments Balanced Fund A2
1.31
6.04
103
14.53
211
8.83
201
11.29
44
24.278
148
61.796
85
Nedgroup Investments Core Accelerated Fund B
0.47
6.19
86
22.00
30
12.04
29
11.89
26
29.384
40
70.897
26
Nedgroup Investments Core Diversified Fund B
0.45
5.54
136
19.78
79
11.00
72
11.45
35
27.084
71
67.866
35
New Road BCI Managed Fund of Funds A
1.33
5.13
176
19.99
75
10.02
148
-
24.164
149
-
NFB Ci Managed Fund A
0.87
4.76
187
17.97
143
10.63
98
10.46
100
25.156
114
61.979
82
NFB Ci Managed Growth Fund of Funds A
1.25
4.44
198
17.88
147
10.94
76
10.49
99
26.618
86
62.640
74
Ninety One Managed Fund H
0.66
1.72
227
12.07
227
6.71
226
8.61
185
18.643
217
48.157
186
Ninety One Managed Fund R
1.16
1.58
230
11.53
231
6.18
231
8.54
187
17.036
223
47.538
188
Ninety One Managed Fund A
1.11
1.60
229
11.56
229
6.23
230
8.12
196
17.161
222
44.993
192
Ninety One Opportunity Fund R
1.24
3.55
216
15.85
193
10.77
86
10.69
84
25.044
120
63.566
67
Ninety One Opportunity Fund H
1.36
3.49
217
15.41
199
10.65
97
10.45
101
24.878
127
61.819
84
Ninety One Opportunity Fund A
1.80
3.36
218
14.88
206
10.16
138
9.96
125
23.345
167
58.423
119
Noble PP BCI Wealth Creator Fund of Funds T
2.85
3.93
210
14.75
207
6.33
228
-
15.333
229
-
Noble PP BCI Wealth Creator Fund of Funds A
2.85
3.93
209
14.75
208
6.33
229
5.74
213
15.334
228
28.938
215
Northstar BCI Managed Fund A1
1.58
6.09
97
16.70
177
10.32
122
9.78
134
26.542
89
57.657
124
Northstar BCI Managed Fund A2
1.58
6.07
98
16.68
178
10.31
123
9.77
135
26.521
90
57.632
126
Oasis Balanced Unit Trust Fund D
1.67
3.81
214
15.15
203
9.40
186
8.97
178
21.039
203
49.937
179
Oasis Crescent Balanced High Equity Fund of Funds D
1.78
0.25
236
10.66
233
7.63
219
8.46
189
14.651
231
44.529
195
Obsidian SCI Balanced Fund B1
1.26
8.02
18
21.01
48
8.83
200
10.77
77
23.700
159
61.210
91
Octagon Sanlam Collective Investments Growth Fund of Funds B1
1.93
5.50
144
16.26
182
9.65
176
9.03
174
24.836
129
50.585
172
Old Mutual Balanced Fund R
1.26
6.50
62
19.25
97
9.28
192
10.09
123
22.511
184
58.040
122
Old Mutual Balanced Fund A
1.61
6.41
71
18.84
112
8.90
199
9.72
139
21.359
200
55.485
140
Old Mutual Core Balanced Fund A
0.69
5.78
121
22.41
19
11.60
47
10.95
65
28.386
51
64.114
60
Old Mutual Multi-Managers Aggressive Balanced Fund of Funds A
1.99
5.56
132
17.96
144
9.54
180
10.69
83
22.221
189
62.430
75
Old Mutual Multi-Managers Balanced Fund of Funds A
1.97
5.44
149
17.59
156
9.21
193
10.19
115
21.539
198
59.234
112
Optimum BCI Managed Growth Fund C
1.69
6.49
66
18.96
109
10.30
125
9.65
144
24.618
136
54.970
145
Oyster Catcher RealFin Balanced Fund A
1.00
6.47
67
20.86
50
12.83
19
-
34.683
16
-
Palmyra BCI Balanced Fund A
1.85
5.86
115
18.40
128
10.51
106
8.32
191
26.678
82
44.360
197
PBi BCI Balanced Fund of Funds A
1.14
6.02
104
18.01
142
10.59
104
10.54
93
26.566
88
60.497
101
Perpetua SCI Balanced Fund A
0.97
7.47
27
15.41
200
10.62
100
10.38
105
26.987
74
59.603
107
Perpetua SCI Balanced Fund A1
0.80
7.53
26
15.61
196
10.81
82
10.57
90
27.565
61
60.908
97
Personal Trust Managed Fund A
1.48
3.89
212
17.63
155
11.29
64
11.00
62
26.043
100
67.684
36
Personal Trust Prudent Fund of Funds A
2.14
5.42
154
15.88
192
10.42
112
10.61
88
25.058
119
61.662
86
Perspective Balanced Prescient Fund A2
0.92
9.67
4
23.56
9
13.87
10
14.04
10
41.294
4
88.246
10
Perspective Balanced Prescient Fund A1
1.21
9.58
7
23.20
12
13.54
13
13.71
11
40.177
7
85.685
11
PFPS Ci Balanced Fund of Funds A
1.52
4.88
184
15.77
195
10.33
118
9.46
158
22.450
185
53.968
155
Pinnacle Wealth Balanced Prescient Fund of Funds A1
1.24
5.83
119
21.22
44
12.28
24
12.30
19
28.505
48
73.457
21
Plexus Wealth BCI Balanced Fund A
1.79
7.13
39
21.08
47
9.50
182
6.23
211
23.644
160
33.536
212
PMK Managed Prescient Fund of Funds A3
1.24
6.14
90
22.10
25
11.52
56
11.86
28
28.546
47
68.493
31
PortfolioMetrix BCI Balanced Fund of Funds A
1.18
6.16
88
22.09
26
11.72
43
-
30.256
35
-
PPS Balanced Fund of Funds A2
1.29
6.53
60
18.76
114
11.98
30
11.67
30
30.258
34
68.930
30
PPS Balanced Passive Fund A2
0.49
7.81
23
23.15
14
11.19
69
10.86
73
26.800
77
63.319
69
PPS Managed Fund A2
1.30
7.43
28
21.56
35
14.02
7
14.66
5
40.151
8
90.443
8
Prescient Balanced Fund A2
0.53
6.93
46
24.06
7
11.20
68
11.24
48
26.573
87
65.920
49
Prime Shiraz Prudential Aggressive Fund of Funds A
2.04
9.36
9
22.05
29
11.02
71
10.21
113
27.511
62
56.902
130
PrivateClient BCI High Equity Fund B
1.79
6.41
72
17.32
163
10.04
146
9.76
136
24.346
146
55.228
144
PSG Balanced Fund A
1.79
8.77
14
19.77
80
14.90
5
14.16
9
40.826
6
91.844
6
PSG Balanced Fund E
1.22
8.94
11
20.47
59
15.57
3
14.82
4
43.088
3
97.133
3
PSG Investment Management Growth Fund of Funds D
1.37
9.57
8
20.21
69
14.00
8
14.25
7
41.174
5
97.186
2
PSG Wealth Moderate Fund of Funds D
1.08
5.44
152
17.66
154
10.70
94
10.94
66
26.921
75
64.072
62
PSG Wealth Moderate Fund of Funds E
1.77
5.25
167
16.84
174
9.93
155
10.18
116
24.524
139
58.826
116
PSG Wealth Moderate Fund of Funds A
2.34
5.09
179
16.16
185
9.30
191
9.55
154
22.562
181
54.578
149
PWM Balanced Prescient Fund of Funds A1
1.46
5.85
117
18.25
137
-
-
24.429
144
-
PWS BCI Moderate Fund of Funds A
1.79
4.95
182
18.45
125
9.41
184
9.44
160
23.358
166
52.568
165
Rebalance BCI Balanced Fund of Funds A
2.01
4.70
189
18.22
138
9.41
185
9.61
148
23.211
171
53.694
158
Red Oak BCI Balanced Fund A
1.85
4.16
207
11.38
232
8.23
210
9.01
175
20.210
209
49.295
185
Rezco Managed Plus Fund A
2.12
8.01
19
11.61
228
7.53
221
6.38
210
24.374
145
31.644
214
Rezco Value Trend Fund A
2.00
8.11
17
9.83
234
7.37
222
6.52
209
23.536
162
32.612
213
Rowan Capital BCI Balanced Fund of Funds A
1.74
5.83
120
20.93
49
12.26
26
12.12
23
33.066
23
72.104
23
Roxburgh Ci Balanced Plus Fund of Funds A
1.24
5.96
109
19.13
103
11.53
54
11.58
32
28.433
50
68.001
34
RSA BCI Balanced Fund A
1.30
5.77
122
15.47
198
9.16
196
9.48
156
19.180
216
53.560
159
S BRO BCI Managed Fund of Funds A
2.20
5.52
139
16.43
180
8.52
207
10.01
124
19.872
210
55.274
142
SA Asset Management BCI Balanced Fund of Funds A
2.06
6.52
61
22.46
18
10.77
87
9.23
169
25.094
118
49.963
178
Sage BCI Long Term Solution FoF A2
1.59
5.84
118
18.61
118
10.33
119
10.87
72
26.741
79
62.878
73
Sanlam Investment Management Balanced Fund A
1.40
6.10
96
18.31
132
9.34
188
8.00
198
22.761
178
43.085
202
Sanlam Investment Management Balanced Fund R
1.28
6.13
91
18.44
127
9.47
183
8.18
194
23.179
172
44.035
199
Sanlam Multi Managed Aggressive Fund of Funds A1
1.45
7.42
29
23.04
15
10.94
77
11.49
33
25.708
106
66.541
43
Sanlam Multi Managed Balanced Fund of Funds A2
1.53
7.05
41
19.35
94
9.85
160
11.00
63
26.288
94
63.488
68
Sanlam Multi Managed Moderate Aggressive Fund of Funds A1
1.19
6.69
56
19.40
91
10.53
105
10.63
87
26.645
85
61.032
95
Sanlam Multi Managed Moderate Fund of Funds A1
1.19
6.02
105
17.58
157
10.06
145
9.66
142
25.684
109
55.804
136
Sanlam Private Wealth Balanced Fund
1.90
5.37
157
13.49
220
9.80
168
8.65
183
22.826
177
49.313
183
Sanlam Private Wealth Balanced Fund A
1.32
5.53
138
14.15
218
10.43
110
9.28
167
24.784
131
53.444
161
Sasfin BCI Prudential Fund A1
1.33
5.12
177
13.20
222
7.20
224
7.17
204
12.654
233
38.441
207
Seed Balanced Prescient Fund A1
1.67
5.47
146
20.05
72
10.49
109
9.43
161
24.345
147
50.378
175
Select BCI Balanced Fund A
1.45
6.86
48
21.52
36
13.63
12
11.17
55
35.415
14
64.200
59
Select BCI Enhanced Core Balanced Fund A
0.51
7.16
38
21.64
33
11.53
53
-
25.695
107
-
Select Manager BCI Balanced Fund of Funds A
1.63
6.05
101
19.70
82
10.80
83
9.68
141
25.936
101
54.576
150
Select Manager BCI Balanced Fund of Funds C
1.63
6.05
100
19.68
83
10.80
85
9.84
128
25.906
103
55.745
137
Select Manager BCI Balanced Fund of Funds D
1.34
6.13
92
20.02
74
11.25
65
10.37
106
27.293
66
59.266
111
Select Manager BCI Balanced Fund of Funds I
1.06
6.21
84
20.37
64
11.57
51
-
28.300
52
61.455
88
Sentio SCI HIKMA Shariah Balanced Fund A2
1.10
4.28
203
14.60
210
7.99
214
8.90
181
17.277
221
49.734
181
Sequoia BCI Managed Growth Fund of Funds A
1.53
5.44
151
16.71
175
9.19
194
9.14
173
19.807
211
49.971
177
Signature BCI Balanced Fund of Funds A
2.60
5.10
178
16.12
188
9.71
172
9.70
140
24.456
143
56.954
129
SIM Managed Aggressive Fund of Funds A1
1.22
6.83
50
20.62
56
9.77
169
11.20
52
23.034
173
62.310
76
SIM Managed Moderate Aggressive Fund of Funds A1
1.21
6.75
55
20.47
60
9.82
166
10.87
71
23.341
168
61.357
90
Simplisiti BCI Managed Protector Fund of Funds A
2.14
6.58
59
20.16
71
10.71
92
10.23
111
26.687
81
58.655
117
Southern Charter BCI Growth Fund of Funds A
1.73
6.22
83
19.95
76
11.68
45
13.41
13
25.689
108
80.632
17
STANLIB Multi-Manager Balanced Fund B1
1.51
5.15
174
18.60
119
10.72
91
11.38
41
27.100
69
66.810
40
STANLIB Multi-Manager Medium-High Equity Fund of Funds B1
1.26
6.17
87
20.39
63
10.98
75
11.13
57
28.011
55
64.640
56
STANLIB Multi-Manager Shar'iah Balanced Fund of Funds B1
1.54
1.78
226
12.70
224
8.02
213
9.81
132
14.851
230
52.228
167
STANLIB Multi-Manager Shar'iah Balanced Fund of Funds B4
1.19
1.69
228
12.33
225
7.66
218
9.45
159
15.923
226
54.667
147
Star BCI Balanced Fund A
1.89
4.27
204
16.93
168
8.07
212
7.56
201
23.401
163
41.631
203
Starfunds.ai BCI Balanced Fund of Funds C
1.62
7.53
25
21.42
39
11.79
38
12.66
17
30.223
36
79.096
18
Sygnia CPI + 6% Fund B
0.68
5.64
128
19.93
77
10.69
95
11.36
43
26.392
93
66.093
46
Sygnia CPI + 6% Fund D
1.19
5.51
142
19.36
93
10.20
132
10.77
78
24.763
132
62.137
80
Sygnia CPI + 6% Fund A
1.42
5.46
147
19.09
104
9.88
159
10.53
94
23.724
158
60.347
105
Sygnia Skeleton Balanced 70 Fund A
0.46
5.26
166
19.60
87
10.60
103
10.97
64
26.653
84
64.078
61
Synergy Ci Growth Fund of Funds A
1.40
6.50
64
20.68
55
11.25
66
10.71
81
26.742
78
62.171
78
Trésor Sanlam Collective Investments Balanced Fund B1
2.01
5.72
125
16.07
190
9.98
151
9.82
131
21.064
202
55.732
138
TRG Balanced Prescient Fund of Funds A1
1.64
6.11
95
18.25
136
10.63
99
11.28
45
27.221
67
66.714
41
Visio BCI Balanced Fund A
1.67
7.19
35
23.32
11
14.95
4
-
40.007
9
102.349
1
Wealth Associates BCI Balanced Fund of Funds A
1.39
5.65
127
19.45
90
11.59
49
11.21
51
29.219
42
64.575
57
Wealthworks Prime Managed Fund of Funds A
1.75
6.05
102
18.48
123
10.06
144
10.23
110
25.121
117
60.379
104
Weaver BCI Balanced Fund of Funds A
1.21
7.17
37
19.67
84
10.08
143
-
22.621
180
-
WellsFaber SCI Balanced Fund of Funds A
1.34
6.46
69
21.63
34
10.24
128
8.80
182
25.792
105
47.755
187
Profile Data Average
5.73
/237
18.48
/237
10.41
/235
10.29
/214
25.57
/237
59.66
/216