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 '21
RNK
Cum. %
since
Dec '19
RNK
10X Your Future Fund A
0.64
3.19
168
10.09
130
10.68
42
10.03
54
20.069
78
58.078
47
10X Your Future Fund T
0.64
3.19
169
10.09
132
-
-
20.331
73
-
10X Your Future Fund P
0.35
3.26
158
10.41
116
-
-
20.890
59
-
1NVEST High Equity Passive Balanced Fund of Funds A
0.52
3.71
119
10.79
98
9.68
86
8.27
156
17.726
140
47.287
142
27four Asset Select Fund of Funds A1
1.50
3.53
138
10.38
117
8.95
137
8.24
157
16.205
181
45.865
157
27four Shariah Balanced Fund of Funds A1
1.87
1.89
214
6.33
235
6.88
220
6.69
200
9.814
237
36.066
202
3B BCI Prudential Fund of Funds 3B1
1.99
3.99
97
10.98
89
10.05
65
10.71
27
20.679
64
60.060
34
4D BCI Moderate Fund of Funds A
2.20
3.10
175
10.36
118
8.97
134
9.65
73
17.009
164
51.712
99
Abax Balanced Prescient Fund A1
0.91
3.92
101
10.80
96
14.67
3
13.03
7
32.181
2
75.622
11
ABSA Sanlam Growth Fund of Funds A
2.09
3.51
139
11.97
49
9.24
118
8.61
144
18.423
118
48.254
138
Absa Sanlam Multi Managed Absolute Return Opportunity Fund A
1.79
2.99
182
9.80
145
9.30
113
8.98
117
20.246
76
48.439
136
ABSA Sanlam Multi Managed Core Growth Fund C
1.51
3.35
149
10.84
95
9.43
105
8.64
139
19.400
95
47.027
146
ABSA Sanlam Multi Managed Passive Growth Fund A
0.45
4.32
68
12.94
21
11.53
25
10.25
43
24.250
27
61.735
29
ABSA Sanlam Multi Managed Passive Growth Fund B
0.86
4.22
72
12.49
32
11.08
34
9.81
62
23.003
33
55.680
61
Accorn BCI Balanced Fund B
2.13
4.62
54
11.10
86
10.06
63
9.60
77
21.013
58
53.589
76
ADB BCI Flexible Prudential Fund of Funds A
1.84
4.03
91
9.72
149
8.31
190
9.81
63
15.446
195
53.883
72
Adviceworx Old Mutual Inflation plus 4-5% Fund of Funds B1
1.71
3.33
154
9.94
139
8.50
175
9.26
98
15.751
189
52.519
87
AF Investments Aggressive Passive Fund A1
0.36
3.76
112
9.35
178
10.38
56
10.22
44
18.382
120
61.958
27
AF Investments Performer Managed Fund A
1.26
3.66
130
9.82
142
8.95
136
9.27
97
17.599
144
52.516
88
AF Investments Real Return Focus Fund A
1.22
5.23
31
9.14
181
8.74
158
7.69
182
18.846
108
43.309
175
Affinity Ci Growth Fund A
1.62
3.56
134
12.29
38
7.98
198
6.43
202
16.058
185
36.728
199
Allan Gray Balanced Fund A
1.59
1.66
228
9.39
175
11.38
28
10.29
41
26.263
21
57.272
51
Allan Gray Balanced Fund C
1.42
1.71
225
9.57
162
11.57
23
10.48
30
26.791
17
58.451
45
Allan Gray Tax-Free Balanced Fund C
1.30
1.71
224
9.68
154
11.62
19
10.47
31
27.746
12
58.727
41
Allan Gray Tax-Free Balanced Fund A
1.47
1.67
227
9.50
169
11.43
26
10.28
42
27.213
13
57.541
49
Aluwani BCI Balanced Fund A
1.27
4.47
62
11.31
76
9.34
111
-
17.146
160
-
Amity BCI Managed Select Fund of Funds A
1.84
4.48
61
10.96
91
8.42
180
7.94
171
16.903
166
45.146
166
Amplify SCI Balanced Fund A1
1.16
4.53
59
8.84
191
9.75
82
-
19.897
83
-
Analytics Ci Balanced Fund of Funds A
2.10
1.81
220
6.86
225
8.37
184
7.60
183
14.688
207
41.358
188
Anchor BCI Diversified Growth Fund A
1.54
4.70
50
10.15
127
10.78
39
9.21
103
22.235
41
52.410
89
Anchor BCI Managed Fund A
1.53
3.54
136
11.94
50
8.72
162
8.09
168
17.598
145
47.065
145
APS Ci Managed Growth Fund A1
1.86
2.80
194
8.10
211
8.62
170
8.75
130
15.506
194
46.746
151
AS Forum BCI Aggressive Fund of Funds A
2.05
4.15
78
10.41
115
8.24
192
8.84
126
16.065
183
48.896
128
Ashburton Balanced Fund A
1.28
4.21
73
10.61
108
9.77
80
8.11
166
21.417
45
46.702
152
Ashburton Balanced Fund A1
1.52
4.15
77
10.36
119
9.52
96
7.88
175
20.706
63
45.239
163
Assetbase CPI + 6% Prescient Fund of Funds A1
1.19
3.15
172
8.22
207
9.52
97
8.12
165
18.226
129
43.958
171
AssetMix Ci Balanced Fund A
1.42
3.24
161
9.48
170
10.62
45
10.04
53
22.956
34
56.058
57
Aureus Nobilis BCI Managed Fund A
1.93
3.99
96
9.64
158
7.53
209
6.94
194
14.503
211
35.780
205
Autus Prime Balanced Fund A
2.61
4.13
81
12.20
42
8.45
179
8.67
137
16.714
171
49.717
119
Autus Prime Diversified Fund A
0.86
4.14
79
12.65
25
9.82
79
10.18
47
19.057
104
58.880
39
Aylett Balanced Prescient Fund A1
1.21
3.24
159
9.55
164
11.35
29
13.08
6
20.468
69
77.863
7
BCI Best Blend Balanced Fund C
1.00
3.69
125
9.27
179
6.70
223
6.61
201
11.645
232
34.518
209
BlueAlpha BCI Balanced Fund C
1.27
1.38
231
14.58
10
11.58
21
9.41
87
17.073
161
52.356
90
Bovest BCI Managed Fund of Funds A
1.52
3.33
153
9.40
174
8.03
196
9.09
111
15.531
193
49.614
122
Brenthurst BCI Balanced Fund of Funds A
1.76
3.71
120
10.57
110
8.58
172
6.33
204
16.239
180
32.825
210
Caleo BCI Balanced Fund of Funds A
2.15
2.40
204
8.20
208
4.36
233
4.23
216
5.707
241
21.910
219
Camissa Balanced Fund A
1.51
3.40
145
7.11
221
7.67
203
9.09
110
14.095
215
42.364
184
Camissa Islamic Balanced Fund A
1.51
1.86
218
4.18
240
6.12
228
8.72
131
6.164
240
45.923
154
Capita BCI Balanced Fund A
1.48
3.55
135
12.13
43
10.59
46
8.61
142
24.740
25
49.052
126
Celerity Ci Balanced Fund A
1.36
5.49
25
10.69
105
9.40
107
-
19.667
88
50.982
110
Celerity Ci Balanced Fund B
1.25
5.52
24
10.80
97
9.51
100
9.26
99
19.968
80
51.669
101
Celerity Ci Diversified Fund A
0.81
0.57
236
5.62
239
9.32
112
-
17.225
158
-
Celtis BCI Managed Fund of Funds A
1.89
3.87
106
11.98
47
8.41
181
9.71
70
17.823
139
53.491
77
Centaur BCI Balanced Fund A
1.74
9.00
5
19.55
2
11.27
30
12.31
9
23.428
31
71.601
13
Chrome Ci Growth Fund A
1.02
3.32
155
13.00
19
10.56
48
10.08
51
21.402
46
58.335
46
Cinnabar SCI Balanced Plus Fund of Funds A
1.82
5.89
16
11.46
68
9.93
72
8.98
118
19.876
84
51.232
106
Citadel Balanced H4 Fund B1
1.56
2.34
205
9.53
167
11.56
24
9.17
106
23.355
32
51.257
105
ClucasGray Equilibrium Prescient Fund A1
0.84
7.90
7
13.21
16
11.89
15
10.33
37
24.082
28
59.178
36
Cogence Discovery Balanced Dynamic Asset Optimiser FoF A
2.01
4.60
55
10.70
104
9.08
128
10.30
38
15.121
204
57.518
50
Cordatus Balanced Prescient Fund A2
1.31
3.79
109
10.05
135
10.35
57
9.91
58
17.471
150
62.778
25
Cordatus Balanced Prescient Fund A1
0.91
3.90
103
10.48
112
10.79
38
10.35
33
18.649
112
65.759
19
Coronation Balanced Plus Fund P
1.18
1.99
211
10.17
126
9.60
89
10.85
24
19.543
92
59.553
35
Coronation Balanced Plus Fund A
1.63
1.87
217
9.66
156
9.10
127
10.34
35
18.183
130
56.299
56
Coronation Capital Plus Fund P
1.08
1.47
230
10.12
129
9.27
116
9.25
100
21.463
43
51.883
98
Coronation Capital Plus Fund A
1.53
1.35
232
9.62
161
8.77
157
8.75
128
20.080
77
48.782
130
CS BCI Aggressive Prudential Fund of Funds B
2.70
2.99
183
10.60
109
7.29
211
9.15
108
16.912
165
49.194
125
CS BCI Prudential Fund of Funds B
2.57
1.58
229
8.84
190
5.53
232
7.41
189
13.034
225
37.557
198
Custodian IM BCI Balanced Fund A
1.46
4.29
69
10.97
90
9.59
92
6.84
196
19.554
91
39.729
194
Denker Sanlam Collective Investments Balanced Fund A
0.99
3.73
116
11.43
70
13.15
7
11.25
19
28.191
10
70.253
14
Discovery Balanced Fund A
1.99
4.80
46
8.47
204
7.56
207
8.14
163
13.298
224
44.267
169
Dotport BCI Prudential Fund of Funds A
2.08
4.70
51
11.18
81
6.74
222
5.56
212
12.926
227
30.523
213
Easy IP Balanced Fund A
2.09
3.69
126
16.49
9
7.09
217
11.60
15
13.841
219
64.123
22
Easy IP Balanced Fund C
2.09
3.69
127
16.49
8
7.09
218
11.60
14
13.839
220
64.122
23
Element Balanced Sanlam Collective Investments Fund A
2.19
2.88
190
9.79
146
9.98
70
7.53
184
18.096
134
40.866
189
Element Islamic Balanced Sanlam Collective Investments Fund A
2.01
3.34
152
6.76
227
6.66
224
7.10
191
8.761
238
34.864
207
Fairtree Balanced Prescient Fund A3
1.69
5.34
29
11.98
48
-
-
24.665
26
-
Fairtree Balanced Prescient Fund A2
1.08
5.99
14
12.69
24
10.65
43
13.91
2
27.164
14
79.190
6
Fairtree Balanced Prescient Fund A1
1.25
5.94
15
12.47
33
10.43
54
13.70
4
26.551
19
77.645
8
Fairtree Invest Strategic Factor Prescient Fund A1
1.05
4.20
75
11.76
56
11.26
32
-
22.896
35
-
FAL BCI Balanced Fund A
2.54
2.45
203
11.73
59
12.87
10
10.81
25
23.604
30
60.450
33
FG SCI Neptune Growth Fund of Funds A
1.57
3.58
132
9.01
186
9.06
129
9.78
67
19.379
97
53.472
79
Financial Fitness Balanced IP Fund of Funds A
1.25
4.94
40
12.07
46
10.00
68
8.85
125
22.604
37
47.709
140
Fisher Dugmore Ci Balanced Fund A
0.80
3.74
113
11.39
72
8.80
154
-
17.554
146
-
Flagship IP Balanced Fund A
2.21
3.19
167
7.09
222
2.26
236
7.52
185
2.334
242
36.054
203
FNB Core Balanced Fund A
0.26
3.56
133
10.09
131
-
-
18.517
117
-
FNB Growth Fund of Funds B1
1.21
4.64
52
10.08
133
9.46
103
9.36
91
17.468
151
52.103
92
FNB Multi Manager Balanced Fund A2
1.49
3.91
102
7.54
216
8.31
189
9.16
107
16.390
179
48.114
139
Foord Balanced Fund B4
1.43
3.08
176
6.33
234
8.71
163
9.34
92
19.672
87
50.207
115
Foord Balanced Fund A
1.28
3.18
170
6.51
230
8.87
143
9.30
95
19.861
85
50.035
117
Foord Balanced Fund B2
0.82
3.30
156
6.99
223
9.36
109
9.80
64
21.225
51
53.103
82
Glacier AI Balanced Fund B
1.19
2.92
189
9.75
148
-
-
20.665
66
-
Gradidge Mahura Ci Growth Fund A
1.23
3.39
146
11.75
57
9.36
110
-
20.653
67
-
Granate BCI Balanced Fund B
1.12
8.81
6
27.19
1
15.62
1
-
41.423
1
-
Graviton SCI Balanced Fund A1
1.52
3.70
124
9.80
143
9.04
131
8.97
119
17.607
143
48.957
127
GraySwan SCI Aggressive Fund of Funds B
0.68
3.11
174
12.30
36
13.26
5
10.80
26
28.762
9
64.951
20
GraySwan SCI Aggressive Fund of Funds A
1.26
2.96
187
11.66
61
12.61
11
10.16
49
26.935
15
60.749
32
Gryphon Prudential Fund B
0.54
0.33
237
7.91
214
8.87
144
10.92
23
21.371
47
59.087
37
H4 Diversified Fund B1
0.84
3.87
105
10.20
124
11.15
33
9.88
59
21.028
57
56.759
54
Helfin Ci Moderately Aggressive Fund A
1.51
4.37
64
9.62
160
8.52
174
8.38
150
16.570
176
45.888
155
High Street Balanced Prescient Fund B1
1.26
-0.04
238
19.41
3
11.98
14
14.08
1
25.746
22
84.194
2
High Street Balanced Prescient Fund A1
1.54
-0.11
239
19.07
4
11.65
18
13.75
3
24.829
24
81.829
3
Hollard BCI Managed Growth Fund of Funds B
1.57
3.36
148
8.59
201
8.71
164
8.75
129
14.901
206
48.575
134
Imali BCI Passive Balanced Fund A
1.30
2.49
202
8.67
198
9.90
75
9.32
93
18.878
106
54.467
68
Investec BCI Diversified Growth FoF A
1.87
4.85
45
12.55
31
8.46
176
-
16.171
182
-
Investhouse Ci Balanced Fund A
1.57
2.54
200
11.53
64
9.12
126
8.96
120
19.179
103
50.377
113
IP Active Beta Fund A
0.93
3.73
117
11.68
60
7.87
201
8.61
143
15.644
191
48.714
131
IP Prudential Equity Fund A
1.37
3.48
142
9.84
140
6.37
226
7.14
190
11.132
233
37.704
197
JBL Sanlam Collective Investments Managed Fund of Funds B1
1.54
3.73
115
9.80
144
9.14
124
8.23
158
20.012
79
42.945
179
Kruger Ci Balanced Fund A
1.64
3.06
179
9.82
141
8.33
187
9.59
78
16.433
178
53.480
78
Long Beach Managed Prescient Fund A1
1.61
-7.75
242
9.71
150
6.60
225
11.44
17
14.027
217
69.588
16
Lynx Prime Balanced Fund of Funds A1
1.74
5.84
19
11.32
75
8.64
166
9.21
102
17.252
156
54.226
69
Lynx Prime Balanced Fund of Funds A2
1.74
5.84
18
11.32
74
8.64
167
9.18
105
17.255
155
54.054
70
Lynx Prime Balanced Fund of Funds A
2.65
5.60
23
10.31
121
7.65
204
-
14.598
208
-
M&G Balanced Fund A
1.42
2.93
188
7.27
219
9.90
74
8.92
122
18.344
123
51.900
97
M&G Balanced Fund I
1.70
2.86
192
6.97
224
9.59
91
8.64
140
17.502
149
49.943
118
Marriott Balanced Fund of Funds C
1.59
2.07
210
8.11
210
6.87
221
5.71
210
12.541
229
29.375
214
Marriott Balanced Fund of Funds A
2.17
1.93
213
7.49
217
6.26
227
5.11
213
10.939
236
26.073
215
Marriott Balanced Fund of Funds D
1.31
2.15
207
8.42
205
7.18
216
6.01
207
13.345
223
31.049
212
Matrix SCI Balanced Fund B1
1.02
5.78
21
10.25
122
9.58
93
9.06
112
19.340
98
51.583
102
Median BCI Balanced Fund of Funds A
2.19
3.24
160
8.73
197
8.19
194
7.91
173
15.384
198
43.305
176
Merchant West SCI Balanced Plus Fund A1
1.57
4.03
93
12.28
40
9.90
76
6.72
199
21.140
53
36.080
201
Merchant West SCI Managed P&G Fund A
1.20
9.03
4
16.59
7
11.26
31
5.77
208
19.436
94
38.116
196
Merchant West SCI Managed P&G Fund D
0.91
9.10
2
16.92
5
11.60
20
6.08
205
20.361
72
39.972
192
Merchant West SCI Managed P&G Fund A1
0.91
9.10
3
16.91
6
11.58
22
6.07
206
20.293
75
39.897
193
Methodical BCI Balanced Fund A
1.67
3.07
178
10.32
120
8.84
147
9.21
104
18.078
135
51.703
100
Methodical BCI Balanced Fund B
1.48
3.12
173
10.53
111
9.04
132
9.41
88
18.624
115
52.962
84
MI-PLAN IP Balanced Plus Fund B5
1.07
5.18
34
12.29
37
8.84
148
7.88
174
19.285
100
43.042
178
Momentum Focus 6 Fund of Funds A
1.82
3.94
99
9.55
165
8.45
178
7.70
181
15.769
188
41.900
186
Momentum Focus 7 Fund of Funds A
1.82
4.13
80
9.47
171
8.79
155
7.87
176
15.985
186
43.088
177
Momentum Target 6 Fund of Funds A
0.98
4.35
66
11.19
79
8.78
156
7.81
180
16.825
168
42.870
180
Momentum Target 7 Fund of Funds A
0.93
4.12
83
11.17
82
8.96
135
8.05
169
16.816
169
44.341
168
Multi Asset IP Balanced Plus Fund B1
1.22
3.72
118
10.24
123
8.81
151
9.72
69
17.251
157
53.083
83
MyQ Ci Growth Fund of Funds A
1.74
2.78
195
8.73
195
10.02
66
9.24
101
21.079
56
50.318
114
Nedgroup Investments Balanced Fund A2
1.31
2.97
186
6.78
226
7.94
199
10.60
28
17.194
159
52.573
86
Nedgroup Investments Core Accelerated Fund B
0.47
3.21
166
11.93
52
11.39
27
10.30
39
21.842
42
60.935
31
Nedgroup Investments Core Diversified Fund B
0.45
3.45
143
10.94
92
10.49
50
10.09
50
20.413
70
59.054
38
Nedgroup Investments Managed Fund R
1.20
7.86
8
10.06
134
10.45
53
12.30
10
23.623
29
64.783
21
Nedgroup Investments Managed Fund A
1.60
7.75
9
9.62
159
10.01
67
11.85
12
22.396
38
61.848
28
New Road BCI Managed Fund of Funds A
1.33
5.07
39
12.62
28
9.18
122
-
18.105
133
-
NFB Ci Managed Fund A
0.87
4.58
56
10.71
103
9.91
73
9.64
74
19.464
93
54.613
67
NFB Ci Managed Growth Fund of Funds A
1.25
3.27
157
11.58
62
10.43
55
9.87
60
21.239
50
55.731
60
Ninety One Managed Fund R
1.16
1.18
234
8.02
213
7.21
214
8.91
123
15.210
201
45.237
164
Ninety One Managed Fund H
0.66
1.28
233
8.53
203
7.75
202
8.95
121
16.635
172
45.650
159
Ninety One Managed Fund A
1.11
1.17
235
8.04
212
7.26
212
8.46
145
15.315
199
42.709
182
Ninety One Opportunity Fund H
1.37
1.82
219
9.09
182
9.73
83
10.03
55
20.673
65
56.369
55
Ninety One Opportunity Fund R
1.24
1.80
221
9.68
153
9.86
77
10.21
45
20.762
62
57.965
48
Ninety One Opportunity Fund A
1.82
1.70
226
8.59
200
9.24
119
9.54
79
19.331
99
53.268
81
Noble PP BCI Wealth Creator Fund of Funds T
2.85
1.71
222
9.05
185
5.76
229
-
10.968
235
-
Noble PP BCI Wealth Creator Fund of Funds A
2.85
1.71
223
9.06
184
5.76
230
5.08
214
10.969
234
24.057
217
Northstar BCI Managed Fund A2
1.58
3.22
165
9.38
176
9.47
102
8.69
135
19.278
101
48.608
132
Northstar BCI Managed Fund A1
1.58
3.22
164
9.38
177
9.47
101
8.69
134
19.275
102
48.603
133
Oasis Balanced Unit Trust Fund D
1.64
3.24
162
7.45
218
9.64
88
8.21
160
16.592
175
44.428
167
Oasis Crescent Balanced High Equity Fund of Funds D
1.74
1.88
215
6.43
232
8.97
133
8.39
149
14.369
213
44.174
170
Obsidian SCI Balanced Fund B1
1.26
5.66
22
12.44
34
7.56
208
9.01
115
14.522
209
49.249
124
Octagon Sanlam Collective Investments Growth Fund of Funds B1
1.93
2.62
199
8.57
202
8.72
161
7.94
172
18.325
125
42.731
181
Old Mutual Balanced Fund A
1.61
4.11
86
9.15
180
8.17
195
8.35
151
14.051
216
46.122
153
Old Mutual Balanced Fund R
1.26
4.20
74
9.52
168
8.55
173
8.72
132
15.032
205
48.392
137
Old Mutual Core Balanced Fund A
0.69
3.70
123
12.86
23
10.74
40
9.52
81
21.371
48
55.146
64
Old Mutual Multi-Managers Aggressive Balanced Fund of Funds A
1.99
2.99
180
8.73
196
8.73
160
9.44
85
15.783
187
53.874
73
Old Mutual Multi-Managers Balanced Fund of Funds A
1.97
2.97
185
8.93
188
8.34
185
9.11
109
15.264
200
51.013
109
Optimum BCI Managed Growth Fund C
1.69
3.67
129
9.67
155
8.80
153
8.17
162
17.022
163
45.524
160
Oyster Catcher RealFin Balanced Fund A
0.98
4.89
42
13.30
15
11.80
16
-
26.500
20
-
Palmyra BCI Balanced Fund A
1.85
2.67
197
10.76
99
9.76
81
6.81
197
19.666
89
36.369
200
PBi BCI Balanced Fund of Funds A
1.14
3.08
177
9.76
147
9.66
87
9.37
89
19.379
96
51.383
104
Perpetua SCI Balanced Fund A1
0.80
3.38
147
5.89
237
9.41
106
9.46
84
18.632
113
49.640
121
Perpetua SCI Balanced Fund A
0.97
3.34
150
5.72
238
9.23
120
9.27
96
18.161
131
48.510
135
Personal Trust Managed Fund A
1.48
3.99
95
9.64
157
10.74
41
10.21
46
21.320
49
61.400
30
Personal Trust Prudent Fund of Funds A
2.13
2.13
208
8.29
206
9.51
99
9.52
82
18.629
114
53.353
80
Perspective Balanced Prescient Fund A1
1.20
5.82
20
11.75
58
11.79
17
11.23
20
27.919
11
69.448
17
Perspective Balanced Prescient Fund A2
0.92
5.89
17
12.07
45
12.12
13
11.55
16
28.841
8
71.654
12
PFPS Ci Balanced Fund of Funds A
1.52
2.98
184
8.75
194
9.06
130
8.31
154
16.756
170
46.808
149
Pinnacle Wealth Balanced Prescient Fund of Funds A1
1.24
4.38
63
13.04
18
10.63
44
11.08
22
21.420
44
63.895
24
Plexus Wealth BCI Balanced Fund A
1.79
3.50
140
11.47
67
8.88
141
4.66
215
15.418
196
24.651
216
PMK Managed Prescient Fund of Funds A3
1.24
4.79
47
14.17
11
10.85
36
10.59
29
21.110
54
58.747
40
PortfolioMetrix BCI Balanced Fund of Funds A
1.18
4.74
49
12.86
22
10.57
47
-
22.702
36
-
PPS Balanced Fund of Funds A2
1.29
3.81
108
10.02
137
10.86
35
10.43
32
22.274
40
58.576
43
PPS Balanced Passive Fund A2
0.49
6.07
13
11.82
54
9.55
94
9.03
113
17.612
142
51.486
103
PPS Managed Fund A2
1.30
6.33
11
12.65
26
12.58
12
13.55
5
30.456
5
77.268
9
Prescient Balanced Fund A2
0.54
4.57
57
13.46
13
9.37
108
9.79
66
18.373
121
55.171
63
Prime Shiraz Prudential Aggressive Fund of Funds A
2.04
5.18
35
11.09
87
9.25
117
8.02
170
16.603
174
43.480
173
PrivateClient BCI High Equity Fund B
1.79
4.26
70
9.09
183
8.64
168
8.27
155
16.859
167
45.882
156
PSG Balanced Fund A
1.78
5.20
33
10.71
102
14.02
4
11.80
13
29.470
6
76.373
10
PSG Balanced Fund E
1.21
5.35
27
11.34
73
14.69
2
12.45
8
31.350
3
80.961
4
PSG Investment Management Growth Fund of Funds D
1.37
9.15
1
12.57
30
13.22
6
-
28.841
7
79.960
5
PSG Wealth Moderate Fund of Funds D
1.06
2.82
193
9.56
163
10.05
64
9.76
68
20.372
71
55.606
62
PSG Wealth Moderate Fund of Funds E
1.76
2.64
198
8.81
193
9.30
114
9.01
114
18.312
126
50.902
112
PSG Wealth Moderate Fund of Funds A
2.33
2.50
201
8.19
209
8.67
165
8.39
148
16.623
173
47.088
144
PWM Balanced Prescient Fund of Funds A1
1.46
3.17
171
10.17
125
-
-
17.547
147
-
PWS BCI Moderate Fund of Funds A
1.79
3.90
104
11.93
51
8.32
188
8.10
167
17.540
148
45.372
162
Rebalance BCI Balanced Fund of Funds A
2.01
3.62
131
11.92
53
8.45
177
8.39
147
17.686
141
46.801
150
Red Oak BCI Balanced Fund A
1.85
2.23
206
6.66
228
7.21
215
8.44
146
15.409
197
43.333
174
Rezco Managed Plus Fund A
2.12
-2.38
240
2.86
241
3.79
235
5.64
211
15.147
203
21.878
220
Rezco Value Trend Fund A
2.00
-3.07
241
1.86
242
3.87
234
5.77
209
14.265
214
22.660
218
Rowan Capital BCI Balanced Fund of Funds A
1.74
3.45
144
14.00
12
10.79
37
11.12
21
25.733
23
62.620
26
Roxburgh Ci Balanced Plus Fund of Funds A
1.24
4.12
84
11.08
88
10.09
62
10.33
36
21.215
52
58.559
44
RSA BCI Balanced Fund A
1.30
2.99
181
6.43
231
7.24
213
7.86
177
12.681
228
45.186
165
S BRO BCI Managed Fund of Funds A
2.20
4.09
88
9.94
138
7.60
206
8.66
138
13.596
222
47.145
143
SA Asset Management BCI Balanced Fund of Funds A
2.06
4.85
44
13.00
20
8.62
169
7.49
186
17.434
152
40.780
190
Sage BCI Long Term Solution FoF A2
1.59
5.11
36
10.47
113
8.74
159
9.53
80
19.744
86
53.886
71
Sanlam Investment Management Balanced Fund A
1.40
4.10
87
9.54
166
8.24
193
6.80
198
15.700
190
34.855
208
Sanlam Investment Management Balanced Fund R
1.28
4.13
82
9.68
151
8.37
183
7.00
193
16.060
184
35.711
206
Sanlam Multi Managed Aggressive Fund of Funds A1
1.45
5.35
26
11.21
77
9.12
125
9.96
56
17.025
162
55.038
66
Sanlam Multi Managed Balanced Fund of Funds A2
1.53
5.34
28
11.13
84
8.82
150
9.68
72
17.972
137
52.722
85
Sanlam Multi Managed Moderate Aggressive Fund of Funds A1
1.19
4.63
53
10.85
94
9.27
115
9.41
86
18.702
111
50.932
111
Sanlam Multi Managed Moderate Fund of Funds A1
1.19
4.02
94
10.03
136
8.94
138
8.64
141
18.551
116
46.962
147
Sanlam Private Wealth Balanced Fund A
1.32
3.49
141
7.17
220
9.43
104
7.82
179
18.249
127
45.408
161
Sanlam Private Wealth Balanced Fund
1.90
3.34
151
6.56
229
8.80
152
7.47
187
16.564
177
41.702
187
Sasfin BCI Prudential Fund A1
1.33
2.11
209
5.95
236
5.65
231
6.40
203
7.168
239
31.699
211
Seed Balanced Prescient Fund A1
1.67
3.67
128
11.19
80
8.84
149
8.22
159
17.892
138
42.574
183
Select BCI Balanced Fund A
1.45
6.10
12
12.58
29
10.20
60
9.62
75
26.716
18
53.652
75
Select BCI Enhanced Core Balanced Fund A
0.51
4.37
65
12.64
27
9.95
71
-
17.291
154
-
Select Manager BCI Balanced Fund of Funds C
1.63
3.71
122
11.16
83
9.51
98
8.35
152
18.719
110
46.855
148
Select Manager BCI Balanced Fund of Funds A
1.63
3.71
121
11.20
78
9.52
95
8.19
161
18.747
109
45.753
158
Select Manager BCI Balanced Fund of Funds I
1.06
3.86
107
11.81
55
10.31
58
-
20.799
61
52.015
94
Select Manager BCI Balanced Fund of Funds D
1.34
3.78
110
11.49
66
9.99
69
8.83
127
19.938
81
50.064
116
Sentio Sanlam Collective Investments Balanced Fund B2
1.20
4.15
76
6.37
233
7.43
210
6.94
195
11.778
231
40.035
191
Sentio SCI HIKMA Shariah Balanced Fund A2
1.10
3.78
111
9.46
172
7.63
205
7.43
188
12.468
230
43.594
172
Sequoia BCI Managed Growth Fund of Funds A
1.53
3.98
98
8.92
189
7.93
200
7.85
178
13.626
221
42.235
185
Signature BCI Balanced Fund of Funds A
2.60
3.73
114
9.45
173
9.14
123
8.69
133
18.420
119
49.343
123
SIM Managed Aggressive Fund of Funds A1
1.22
5.32
30
10.13
128
8.87
145
9.82
61
15.166
202
51.931
96
SIM Managed Moderate Aggressive Fund of Funds A1
1.21
5.07
38
10.41
114
8.89
140
9.62
76
15.537
192
51.149
108
Simplisiti BCI Managed Protector Fund of Funds A
2.14
5.20
32
12.28
39
8.93
139
8.88
124
18.867
107
48.861
129
Southern Charter BCI Growth Fund of Funds A
1.73
4.03
92
11.11
85
10.46
52
11.97
11
18.325
124
70.048
15
STANLIB Multi-Manager Balanced Fund B1
1.51
2.77
196
10.72
100
10.30
59
10.34
34
20.882
60
58.649
42
STANLIB Multi-Manager Medium-High Equity Fund of Funds B1
1.26
3.54
137
11.44
69
10.13
61
9.80
65
20.565
68
55.064
65
STANLIB Multi-Manager Shar'iah Balanced Fund of Funds B4
1.54
1.87
216
8.61
199
7.98
197
9.00
116
12.940
226
49.696
120
STANLIB Multi-Manager Shar'iah Balanced Fund of Funds B1
1.19
1.96
212
8.97
187
8.34
186
9.36
90
13.895
218
51.962
95
Star BCI Balanced Fund A
1.89
4.35
67
11.57
63
7.06
219
7.03
192
18.347
122
35.831
204
Starfunds.ai BCI Balanced Fund of Funds C
1.62
5.09
37
12.37
35
10.51
49
11.29
18
21.101
55
66.551
18
Sygnia CPI + 6% Fund B
0.70
4.25
71
11.43
71
9.68
84
10.30
40
19.639
90
57.219
52
Sygnia CPI + 6% Fund A
1.43
4.05
90
10.63
107
8.87
142
9.48
83
17.320
153
52.046
93
Sygnia CPI + 6% Fund D
1.19
4.11
85
10.90
93
9.21
121
9.70
71
18.242
128
53.662
74
Sygnia Skeleton Balanced 70 Fund A
0.46
4.08
89
11.52
65
9.59
90
9.91
57
20.329
74
55.884
58
Synergy Ci Growth Fund of Funds A
1.40
3.24
163
9.68
152
9.68
85
9.31
94
19.012
105
52.281
91
Trésor Sanlam Collective Investments Balanced Fund B1
2.01
2.86
191
7.86
215
8.39
182
8.33
153
14.510
210
47.301
141
TRG Balanced Prescient Fund of Funds A1
1.64
3.93
100
10.66
106
9.82
78
10.17
48
19.899
82
57.119
53
Visio BCI Balanced Fund A
1.67
4.54
58
13.35
14
12.97
9
-
30.613
4
88.772
1
Visio BCI SA Balanced Fund B
0.69
7.03
10
13.04
17
13.09
8
-
26.870
16
-
Wealth Associates BCI Balanced Fund of Funds A
1.39
4.86
43
12.12
44
10.47
51
10.07
52
22.312
39
55.778
59
Wealthworks Prime Managed Fund of Funds A
1.75
4.91
41
10.71
101
8.58
171
8.67
136
17.984
136
51.232
107
Weaver BCI Balanced Fund of Funds A
1.21
4.78
48
8.81
192
8.86
146
-
14.419
212
-
WellsFaber SCI Balanced Fund of Funds A
1.34
4.50
60
12.21
41
8.26
191
8.13
164
18.155
132
38.785
195
Profile Data Average
3.71
/242
10.41
/242
9.32
/236
9.08
/216
18.78
/242
51.04
/220