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1.0440
-0.0046
(-0.439%)
NAV price (ZAR) Tue 26 Nov 2024 (change prev day)
Fund Performance
Period Return %Growth of R1 000 |
|
* Not annualised |
Period Return %Growth of R1 000 |
|
* Not annualised |
Key Facts and Fund Objective
Key Facts |
Formation Date | 1 Oct 2010 |
Fund Size (ZAR) | 3 074 397 246 |
Latest Price | 104.40 |
PlexCrowns | |
Total Expense Ratio (30/09) | 0.61% |
Minimum Investment | R10 000 |
TTM Distribution Yield | 9.38% |
Key Facts |
Formation Date | 1 Oct 2010 |
Fund Size (ZAR) | 3 074 397 246 |
Latest Price | 104.40 |
PlexCrowns | |
Total Expense Ratio (30/09) | 0.61% |
Minimum Investment | R10 000 |
TTM Distribution Yield | 9.38% |
Fund Objective |
INVESTMENT AND RETURN OBJECTIVE
The Fund aims to generate returns above the JSE All Bond Index over time, utilising active bond management combined with strategies which aim to reduce risk over time.
INVESTMENT PROCESS
The Fund invests in cash and high-quality capital market instruments. A number of techniques are used to
generate returns, including duration management, yield enhancements via credit exposure and risk
management strategies, where these strategies are designed to provide downside protection.
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|
Fund Objective |
INVESTMENT AND RETURN OBJECTIVE
The Fund aims to generate returns above the JSE All Bond Index over time, utilising active bond management combined with strategies which aim to reduce risk over time.
INVESTMENT PROCESS
The Fund invests in cash and high-quality capital market instruments. A number of techniques are used to
generate returns, including duration management, yield enhancements via credit exposure and risk
management strategies, where these strategies are designed to provide downside protection.
|
|
Fund Objective |
INVESTMENT AND RETURN OBJECTIVE
The Fund aims to generate returns above the JSE All Bond Index over time, utilising active bond management combined with strategies which aim to reduce risk over time.
INVESTMENT PROCESS
The Fund invests in cash and high-quality capital market instruments. A number of techniques are used to
generate returns, including duration management, yield enhancements via credit exposure and risk
management strategies, where these strategies are designed to provide downside protection.
|
|
Fund Objective |
INVESTMENT AND RETURN OBJECTIVE
The Fund aims to generate returns above the JSE All Bond Index over time, utilising active bond management combined with strategies which aim to reduce risk over time.
INVESTMENT PROCESS
The Fund invests in cash and high-quality capital market instruments. A number of techniques are used to
generate returns, including duration management, yield enhancements via credit exposure and risk
management strategies, where these strategies are designed to provide downside protection.
|
|