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Oasis Crescent International Feeder Fund  |  Global-Equity-General
9.6496    -0.0408    (-0.421%)
NAV price (ZAR) Fri 20 Mar 2026 (change prev day)


OCIFD 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* 8.11% 1081.10 1007.73
6 Mnths* 10.55% 1105.50 1008.70
1 Year 23.24% 1232.40 1028.60
3 Years 13.46% 1460.50 1040.22
5 Years 10.98% 1683.30
10 Years 8.63% 2287.80 1048.53
R100 per Month (NAV-NAV Incl. Dividends)
Period Return Value(R) Inflation(R)
3 Mnths* 4.67% 309.44 301.93
6 Mnths* 8.94% 632.09 604.25
1 Year 22.41% 1356.11 1216.56
3 Years 14.18% 4507.21 3396.45
5 Years 12.23% 8302.20 5770.29
10 Years 10.63% 21422.39 12410.49
* Periods shorter than 12 months are not annualised.
Discrete Rolling Performance
     Oasis Crescent International 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