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Oasis Crescent International Property Equity Feeder Fund  |  Global-Real Estate-General
2.1769    -0.0052    (-0.237%)
NAV price (ZAR) Mon 30 Jun 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* 2.38% 1027.70 1005.41
6 Mnths* 2.68% 1026.40 1021.99
1 Year 8.41% 1084.10 1027.25
3 Years 9.09% 1298.10 1046.20
5 Years 7.87% 1460.50
10 Years 5.78% 1754.70 1050.48
R100 per Month (NAV-NAV Incl. Dividends)
Period Return Value(R) Inflation(R)
3 Mnths* 2.12% 304.25 301.53
6 Mnths* 1.84% 606.48 562.87
1 Year 2.81% 1218.41 1087.05
3 Years 9.05% 4149.69 3283.09
5 Years 7.70% 7336.56 5681.83
10 Years 5.88% 16358.06 12350.21
* 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