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BCI Value Fund  |  Worldwide-Equity-General
1.8533    +0.0155    (+0.843%)
NAV price (ZAR) Tue 28 Oct 2025 (change prev day)


Fund: BCI Value Fund
 
  • Income bar frequency: 1 quarter
  • Chart reflects TRI
  •  
          
          
     
     Initial Investment:  Period:   Invested From: Invested To: Performance:  
      R  
     
    TRI NAV  

    TRI Performance (%)
    Fund Name1 Year3 Years5 Years7 Years10 Yearsp.a.*cumulative*
    BCI Value Fund B 20.78 18.47 11.76 11.44 0.00 11.76 74.37
    Worldwide--Equity--General 17.06 16.60 13.22 11.24 8.09 13.22 86.02
    *Custom Period
    *Note: All returns are annualised, except the 'cumulative' column which shows unannualised performance for the custom period.

    Income Produced (Rand)
    Fund Name1 Year3 Years5 Years7 Years10 YearsCustom
    BCI Value Fund B 498.39 2 655.34 3 972.74 7 279.24 3 972.74