Oasis Crescent Equity Fund Fact Sheet MDD
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Fund Objectives

Monthly Prices
Dec 24
R 15.10    R 0.-9
   -0.59%
High Avg. Low
R 15.28 R 14.95 R 14.03
Fund Information
Fund Sector
SA – Equity – General
Fund Maximum Annual Fee *
1.15%-N
Y or N indicate if performance fee levied or not. Advisor fee excluded.
Distribution Periods
Bi-Annually
Fund Information
Launch Date
Jul 1998 27 years ago
Fund Benchmark
Sector Avg
Fund Risk Rating
1 2 3 4 5 Med High
Fund Size
R 5.2 Bil.


Oasis Crescent Equity Fund Unit Prices
SA - MA - I
SA - E - G
SA - E - LC
G - MA - F
SA - IB - VT
G - E - G
SA - MA - F
R - MA - F
SA - RE - G
SA - MA - HE
Did You Know ?

Alex Forbes entered the collective investments industry by acquiring the the asset manager Investment Solutions in late 2010s.

The first ever listing of S&P 500 ETF on the JSE was from CoreShares.

Asset manager Allan Gray UT Manco was founded by the same person Allan Gray in 1973.

Distributions Info (in cents)
Q3 of 2023 15.39
See Also
36One Equity Fund
IFM Technical Fund
Coronation Equity Fund
Anchor Equity Fund
Nedgroup Investments Rainmaker Fund
Asset Allocation Analysis
Fund Management
Fund Activities
Disclaimer
Please note that unit trusts investmets are generally classified as long-term investment products not suitable for trading and speculation.