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Fairtree Global Equity Prescient Feeder Fund  |  Global-Equity-General
2.7482    -0.0167    (-0.604%)
NAV price (ZAR) Fri 29 Nov 2024 (change prev day)


Asset Allocation: Quarterly Comparison
 
 
 

 

 

Change
Quarter Ended
Quarter Ended
RSA Equity
-3.28% 
0.00% 
3.28% 
Int Equity
3.16% 
99.08% 
95.92% 
RSA Bonds
0.00% 
0.00% 
0.00% 
Int Bonds
0.00% 
0.00% 
0.00% 
RSA Real Estate
0.00% 
0.00% 
0.00% 
Int Real Estate
0.00% 
0.00% 
0.00% 
RSA Cash
0.60% 
0.89% 
0.29% 
Int Cash
-0.48% 
0.03% 
0.51% 
Asset Allocation: Two Year Quarterly History
Asset Class3Q 20242Q 20241Q 20244Q 20233Q 20232Q 20231Q 20234Q 2022
RSA Equity-3.28%------
Int Equity99.08%95.92%99.79%99.61%99.46%99.65%98.81%98.17%
Total Equity99.08%99.20%99.79%99.61%99.46%99.65%98.81%98.17%
RSA Bonds--------
Int Bonds--------
Total Bonds--------
RSA Real Estate--------
Int Real Estate--------
Total Real Estate--------
RSA Cash0.89%0.29%0.07%0.26%-2.90%0.33%0.86%0.89%
Int Cash0.03%0.51%0.14%0.13%3.44%0.02%0.33%0.94%
Total Cash0.92%0.80%0.21%0.39%0.54%0.35%1.19%1.83%
Total100.00%100.00%100.00%100.00%100.00%100.00%100.00%100.00%
RSA Total0.89%3.57%0.07%0.26%-2.90%0.33%0.86%0.89%
Int Total99.11%96.43%99.93%99.74%102.90%99.67%99.14%99.11%
Top Holdings: Quarterly Comparison
 
 
 

 

 

Change
Quarter Ended
Quarter Ended
TOTALFOREIGEQ0.00% 0.00% 0.00% 
FOREIGNDIRFCE-0.67% 99.08% 99.75% 
CASH0.66% 0.89% 0.23% 
FOREIGNCASH0.01% 0.03% 0.02% 
Sectoral Allocation: Quarterly Comparison
 
 
 

 

 

Change
Quarter Ended
Quarter Ended
Cash on call
0.66% 
0.89% 
0.23% 
For Currency
0.01% 
0.03% 
0.02% 
Foreign Invest
-0.67% 
99.08% 
99.75%