South African--Interest Bearing--Variable Term

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Click to view Quarterly run up to the awards for this sector.
Fixed Start Date Performance
Standard Period Performance
Fund NameTER3mthsRNK1yrRNK3yrsRNK5yrsRNKCum. %
since
Dec '22
RNKCum. %
since
Dec '20
RNK
Absa SCI Multi Managed Bond Fund A 0.676.962114.591714.563011.631943.4162964.69215
AF Investments Pure Fixed Interest Unit Trust A 0.867.161514.631415.411712.15945.3111965.76812
Allan Gray Bond Fund A 0.586.283314.381914.513111.182343.6302760.43824
Ampersand BCI Bond Fund B 1.086.842313.313114.7127-43.54528-
Anchor BCI Bond Fund A 0.657.261214.851215.98612.001347.927765.08014
Argon BCI Bond Fund A 0.557.38715.11714.942411.991443.2903065.31113
Citadel SA Bond H4 Fund B1 0.875.523913.602914.223310.852641.0873457.74928
Colourfield BCI Income Fund 2 A 0.745.78366.39417.79409.103020.8384144.82333
Coronation Bond Fund R 0.856.832414.372015.721212.141046.5621366.7149
Discovery Strategic Bond Fund A 1.167.311015.07915.937-47.535864.65816
Fairtree ALBI Plus Prescient Fund A1 0.787.231315.11618.06112.71252.455168.9833
Fairtree Bond Prescient Fund A1 0.896.722813.103215.2321-45.06322-
FNB Multi Manager Bond Fund B1 1.086.283410.923713.323511.092537.8193657.89027
Foord Bond Fund A 0.705.533812.6333--41.95633-
Granate BCI Active Bond Fund B 0.566.702913.942415.2519-45.57317-
IFM Bond Fund E 0.926.992011.093614.013411.262240.7793559.76725
Independent Alternatives Active Bond 27Four Fund A1 0.677.84315.07815.938-47.9296-
M&G Bond Fund I 0.876.683013.682715.791012.65346.7811268.7235
Melville Douglas STANLIB Bond Fund A 0.876.792513.602814.772511.152443.6412659.61826
Mentenova Local Bond Prescient Fund of Funds B1 1.057.141613.712614.9823-44.17823-
Momentum Bond Fund A 0.887.32914.112215.471611.871545.8741664.12818
Momentum Inflation Linked Bond Fund A 1.215.57377.68408.10399.102923.4364047.25832
Nedgroup Investments Core Bond Fund R 0.446.643114.082315.581412.011246.4701465.93711
Ninety One Corporate Bond Fund H 0.587.271115.33516.28412.59548.624469.2482
Ninety One Gilt Fund A 1.167.39614.621515.531511.841646.0271563.69620
Oakhaven Bond FR Fund A2 0.546.772613.333015.2320-45.1352164.26317
Oasis Bond Fund A 0.588.79115.60415.152211.781745.4641864.05119
Old Mutual Bond Fund A 0.897.201414.601614.712811.422143.6802560.49123
PortfolioMetrix BCI SA Bond Fund A 0.657.40514.471815.711312.38646.8211067.9207
PPS Bond Fund A2 0.766.143510.473811.703710.602733.4003855.24929
Prescient Flexible Bond Fund A2 0.598.17217.79116.57313.70149.069375.5741
Prescient Flexible Fixed Interest Fund A2 0.583.204011.443512.49369.712835.4393754.05530
Prowess Bond 27four Fund A1 1.067.011913.872514.3532-43.18832-
Saffron BCI Active Bond Fund A 1.426.543216.90214.632912.38743.7142468.6956
Sanlam Investment Management SCI Bond Fund A 0.597.111715.051016.58212.141150.072267.1308
SIM SCI Inflation Linked Income Fund A 0.632.44419.68399.98388.633129.9903947.36231
STANLIB Bond Fund R 0.876.912212.043414.762611.612043.2623161.64722
Sygnia Enhanced All Bond Fund A 0.427.101814.262115.761112.15846.7971166.13210
Terebinth SCI Active Bond Fund B1 0.637.32814.951115.301811.771845.2002063.65321
Visio BCI Bond Fund A 0.526.752715.98316.105-48.6065-
Vunani BCI Bond Fund A 0.607.56414.701315.87912.63447.530968.7714
Profile Data Average
 6.73/4113.66/4114.67/4011.56/3143.34/4162.59/33