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Marriott First World Equity Fund –  |  Global--Equity--General
1.7466    -0.1316    (-7.007%)
NAV price (GBP) Tue 31 Mar 2026 (change prev month end)


 
Snapshot
<i><b>  Performance</b></i><hr/>This guage shows the decile position of the fund against 164 Rand-denominated Global--Equity--General funds over the last three years (needle right indicates above average performance)
Performance
<i><b>  Size</b></i><hr/>This guage shows the size of the fund against all Rand-denominated retail funds (needle right indicates a large fund, needle left a small fund)
Size
<i><b>  Diversification</b></i><hr/>This guage shows the level of diversification relative to other funds in the same second-tier (equity) category (needle right indicates a well-diversified fund)
Diversification
<i><b>  Risk</b></i><hr/>This guage shows the fund's level of historical risk relative to other funds in the Global--Equity--General sector based on 3-year volatility (needle right indicates lower risk within the sector)
Risk

Fund Performance
Period    Return %Growth of £1 000
chart
* Not annualised
Key Facts and Fund Objective
Key Facts
Formation Date 3 Apr 2008
Fund Size (£) 72 762 701
Latest Price 1.75
PlexCrowns -
Total Expense Ratio-
Minimum Investment£20 000
TTM Distribution Yield 116.11%
Fund Objective
The objective of the fund is to generate long-term growth and a distributable income through investments in quoted shares which must be constituents of the S&P 500, FTSE 350, FTSE Eurofirst 300. The fund is to be managed in such a way to achieve a gross yield in UK pound sterling terms comparable to the yield generated by the average of the S&P 500 Index, FTSE 350 and FTSE Eurofirst indices and capital growth in excess of UK Consumer Price Inflation. The fund is a class of shares in an open-ended investment company listed on the Irish Stock Exchange and is regulated by the Irish Financial Services Regulatory Authority. The fund is approved for sale in South Africa by the Financial Services Board (FSB). The portfolio is valued and returns are measured in UK pounds sterling.
Asset Classes and Holdings
 RSA Equity0.00%  
 Int Equity90.13%  
 RSA Bonds0.00%  
 Int Bonds0.00%  
 RSA Real Estate0.00%  
 Int Real Estate4.62%  
 RSA Cash0.00%  
 Int Cash5.25%  
REGIONAL PORTFOLIO as at 31 Dec 2025
Holding (Region) % of Fund
Europe All20.20%
United Kingdom All16.40%
United States of America All63.40%
Totals100.00%