South African--Interest Bearing--Variable Term

< Back to Index    
Click to view period performances and latest quarter run up to the awards for this sector.
Cumulative performance calculated
31 December 2022 to quarter end ...
Cumulative performance calculated
31 December 2020 to quarter end ...
Fund NameTERMar 2025RJun 2025RSep 2025R Mar 2025RJun 2025RSep 2025R
Absa SCI Multi Managed Bond Fund A 0.6727.292834.082843.422946.171253.981364.6915
AF Investments Pure Fixed Interest Unit Trust A 0.8627.782335.602045.311945.771354.691265.7712
Allan Gray Bond Fund A 0.5828.032035.142243.632743.012450.952260.4424
Ampersand BCI Bond Fund A 1.3126.993033.5834----
Ampersand BCI Bond Fund B 1.0827.662534.362743.5528---
Anchor BCI Bond Fund A 0.6529.68837.91547.93744.721553.901565.0814
Argon BCI Bond Fund A 0.5525.213633.453543.293044.451653.951465.3113
Citadel SA Bond H4 Fund B1 0.8726.713233.703341.093441.682649.492557.7528
Colourfield BCI Income Fund 2 A 0.7413.784214.234220.844136.363336.913344.8233
Coronation Bond Fund R 0.8529.191137.191046.561346.961056.06866.719
Discovery Strategic Bond Fund A 1.1628.941337.49847.54843.902253.441764.6616
Fairtree ALBI Plus Prescient Fund A1 0.7833.65142.17152.46148.14657.58568.983
Fairtree Bond Prescient Fund A1 0.8928.601635.931945.0622---
FNB Multi Manager Bond Fund B1 1.0824.773829.683837.823642.942548.572957.8927
Foord Bond Fund A 0.7028.032134.512541.9633---
Granate BCI Active Bond Fund B 0.5629.341036.431545.5717---
IFM Bond Fund E 0.9226.863131.583640.783543.981949.322759.7725
Independent Alternatives Active Bond 27Four Fund A1 0.6728.931437.181147.936---
M&G Bond Fund I 0.8729.97537.59746.781249.39358.16368.725
Melville Douglas STANLIB Bond Fund A 0.8727.112934.512643.642641.252949.472659.6226
Mentenova Local Bond Prescient Fund of Funds B1 1.0527.652634.572444.1823---
Momentum Bond Fund A 0.8828.351735.931845.871644.411752.941864.1318
Momentum Inflation Linked Bond Fund A 1.2115.724116.924123.444038.053239.483247.2632
Nedgroup Investments Core Bond Fund R 0.4429.78637.36946.471447.03955.611065.9411
Ninety One Corporate Bond Fund H 0.5830.62438.55448.62448.74457.78469.252
Ninety One Gilt Fund A 1.1628.281835.981646.031543.802352.432063.7020
Oakhaven Bond FR Fund A2 0.5428.761535.931745.132145.731453.851664.2617
Oasis Bond Fund A 0.5825.143733.713245.461841.133050.792364.0519
Old Mutual Bond Fund A 0.8926.493534.022943.682541.292849.712460.4923
PortfolioMetrix BCI SA Bond Fund A 0.6528.971236.701446.821047.50756.34767.927
PPS Bond Fund A2 0.7621.664025.684033.403841.592746.263055.2529
Prescient Flexible Bond Fund A2 0.5928.131937.80649.07350.91162.31175.571
Prescient Flexible Fixed Interest Fund A2 0.5826.543431.243735.443743.932049.282854.0530
Prowess Bond 27four Fund A1 1.0626.543333.813143.1932---
Saffron BCI Active Bond Fund A 1.4227.612734.892343.712449.79258.34268.706
Sanlam Investment Management SCI Bond Fund A 0.5932.26240.10250.07247.29856.03967.138
SIM SCI Inflation Linked Income Fund A 0.6324.143926.903929.993940.733143.863147.3631
STANLIB Bond Fund R 0.8727.882234.003043.263144.291851.202161.6522
Sygnia Enhanced All Bond Fund A 0.4229.40937.061346.801146.441155.111166.1310
Terebinth SCI Active Bond Fund B1 0.6327.692435.292145.202043.922152.481963.6521
Visio BCI Bond Fund A 0.5231.14339.21348.615---
Vunani BCI Bond Fund A 0.6029.73737.161247.53948.41556.91668.774
Profile Data Average
 27.40/4234.26/4243.34/4144.66/3352.34/3362.59/33