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IFM Bond Fund  |  South African-Interest Bearing-Variable Term
99.5632    -0.0357    (-0.036%)
NAV price (ZAR) Thu 4 Sep 2025 (change prev day)


Asset Allocation: Quarterly Comparison
 
 
 

 

 

Change
Quarter Ended
Quarter Ended
Asset Allocation: Two Year Quarterly History
Asset Class2Q 2025
RSA Equity-
Int Equity-
Total Equity-
RSA Bonds92.26%
Int Bonds-
Total Bonds92.26%
RSA Real Estate-
Int Real Estate-
Total Real Estate-
RSA Cash7.74%
Int Cash-
Total Cash7.74%
Total100.00%
RSA Total100.00%
Int Total-
Top Holdings: Quarterly Comparison
 
 
 

 

 

Change
Quarter Ended
Quarter Ended
CASH0.25% 5.30% 5.05% 
R20480.28% 9.09% 8.80% 
ES420.20% 5.37% 5.17% 
R20370.60% 7.19% 6.60% 
R2032-1.88% 3.58% 5.46% 
R20440.39% 5.58% 5.19% 
R2035-0.22% 7.40% 7.61% 
R20409.58% 17.08% 7.50% 
R20330.40% 8.16% 7.76% 
R2038-8.68% 5.98% 14.66% 
Sectoral Allocation: Quarterly Comparison
 
 
 

 

 

Change
Quarter Ended
Quarter Ended
Bond
1.34% 
91.46% 
90.12% 
Cash on call
0.26% 
5.30% 
5.04% 
Money Market
1.92% 
2.89% 
0.97%