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Oasis Crescent International Property Equity Feeder Fund  |  Global-Real Estate-General
2.1525    +0.0175    (+0.819%)
NAV price (ZAR) Fri 12 Sep 2025 (change prev day)


OCIPED D-Class Performance Charts
3 months performance chart
6 months performance chart
1 year performance chart
3 years performance chart
     Fund        Benchmark
Performance Overview
R1000 Lump Sum (NAV-NAV Incl. Dividends)
Period Return Value(R) Inflation(R)
3 Mnths* 0.26% 1002.60 1012.72
6 Mnths* 2.89% 1028.90 1020.71
1 Year -1.98% 980.20 1034.99
3 Years 7.64% 1247.20 1043.68
5 Years 7.62% 1443.90
10 Years 4.82% 1601.60 1050.52
R100 per Month (NAV-NAV Incl. Dividends)
Period Return Value(R) Inflation(R)
3 Mnths* -0.80% 298.40 302.25
6 Mnths* 0.28% 600.98 607.61
1 Year 0.06% 1200.37 1137.14
3 Years 7.51% 4049.08 3339.60
5 Years 6.83% 7167.51 5743.11
10 Years 5.55% 16066.83 12442.67
* Periods shorter than 12 months are not annualised.
Discrete Rolling Performance
     Oasis Crescent International Property Equity Feeder Fund - D Class       Sector
Quartile Ranking Data
Trailing Returns
Period ending
PeriodReturn %Growth in R1 000
chart
* Not annualised
Trailing Returns
Period ending
PeriodReturn %Growth in R1 000
chart
* Not annualised