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Oasis Crescent International Property Equity Feeder Fund  |  Global-Real Estate-General
2.0961    +0.0094    (+0.450%)
NAV price (ZAR) Thu 8 Jan 2026 (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* -1.36% 986.40 1000.00
6 Mnths* -2.02% 979.80 1009.76
1 Year 0.53% 1005.30 1034.99
3 Years 10.48% 1348.50 1040.11
5 Years 7.63% 1444.10
10 Years 3.04% 1349.00 1050.10
R100 per Month (NAV-NAV Incl. Dividends)
Period Return Value(R) Inflation(R)
3 Mnths* -2.86% 294.32 299.90
6 Mnths* -3.45% 588.05 600.98
1 Year -3.10% 1180.06 1183.97
3 Years 4.27% 3847.34 3359.84
5 Years 5.17% 6860.42 5731.58
10 Years 5.06% 15645.09 12357.41
* 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