Stanlib Bond Fund Fact Sheet MDD
Where I Am? | Home ==> The Funds ==> Stanlib Bond Fund Fact Sheet MDD
Fund Objectives

Monthly Prices
Dec 24
R 1.70    R 0.-4
   -2.3%
High Avg. Low
R 1.74 R 1.63 R 1.55
Fund Information
Fund Sector
SA – Interest Bearing – Variable Term
Fund Maximum Annual Fee *
0.86%-N
Y or N indicate if performance fee levied or not. Advisor fee excluded.
Distribution Periods
Quarterly
Fund Information
Launch Date
Mar 2000 25 years ago
Fund Benchmark
Jse Albi Index
Fund Risk Rating
1 2 3 4 5 Medium
Fund Size


Stanlib Bond 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 ?

The resultant of merger of Plexus and Grant Thornton was the establishment of the current manager Plexus Wealth.

Asset manager Sygnia is a product of a management buyout in a larger transaction that was involving Cadiz buying African Harvest Fund Managers.

Nedgroup Investments does not have internal fund managers per se, it select establised asset managers to manage their unit trusts funds.

Distributions Info (in cents)
See Also
SIM Bond Index Fund
Allan Gray Bond Fund
Old Mutual Bond Fund
Nedgroup Investments Core Bond Fund
Alex Forbes Pure Fixed Interest Fund
Asset Allocation Analysis
Fund Management
Fund Activities
Disclaimer
Our unit trusts prices captured in and around the end of each month and are rounded off to the nearest full 1 cent.