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Taquanta Bond FR Fund  |  South African-Interest Bearing-Variable Term
Reg Compliant
13.1518    -0.0114    (-0.087%)
NAV price (ZAR) Tue 19 Nov 2024 (change prev day)


Asset Allocation: Quarterly Comparison
 
 
 

 

 

Change
Quarter Ended
Quarter Ended
RSA Equity
0.00% 
0.00% 
0.00% 
Int Equity
0.00% 
0.00% 
0.00% 
RSA Bonds
0.05% 
99.62% 
99.57% 
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
-0.05% 
0.38% 
0.43% 
Int Cash
0.00% 
0.00% 
0.00% 
Asset Allocation: Two Year Quarterly History
Asset Class3Q 20242Q 20241Q 20244Q 20233Q 20232Q 20231Q 20234Q 2022
RSA Equity-------99.76%
Int Equity--------
Total Equity-------99.76%
RSA Bonds99.62%99.57%99.79%99.84%99.89%99.68%99.83%-
Int Bonds--------
Total Bonds99.62%99.57%99.79%99.84%99.89%99.68%99.83%-
RSA Real Estate--------
Int Real Estate--------
Total Real Estate--------
RSA Cash0.38%0.43%0.21%0.16%0.11%0.32%0.17%0.24%
Int Cash--------
Total Cash0.38%0.43%0.21%0.16%0.11%0.32%0.17%0.24%
Total100.00%100.00%100.00%100.00%100.00%100.00%100.00%100.00%
RSA Total100.00%100.00%100.00%100.00%100.00%100.00%100.00%100.00%
Int Total--------
Top Holdings: Quarterly Comparison
 
 
 

 

 

Change
Quarter Ended
Quarter Ended
CORPDBTCONVRT-0.13% 3.88% 4.02% 
FINANCEINSTIT-2.32% 70.19% 72.51% 
GOVTISSUPAPER1.05% 4.02% 2.97% 
TOTDOMMONMKT3.59% 15.61% 12.02% 
CASH-2.19% 6.30% 8.48% 
Sectoral Allocation: Quarterly Comparison
 
 
 

 

 

Change
Quarter Ended
Quarter Ended
Cash on call
0.00% 
100.00% 
100.00%