Retirement prices

(closing prices as at 18/05/2012)
Updated on 21/05/2012

Company Fund Buyers Sellers
LIBERTY Managed 439.946084 439.946084
LIBERTY Conventional Managed 11815.99355 11815.99355
LIBERTY Conventional Managed 791 11511.69532 11511.69532
LIBERTY Conventional Equity 57887.60544 57887.60544
LIBERTY Conventional Equity (non gtee) 57887.60544 57887.60544
LIBERTY Liberty Composite 57887.60544 57887.60544
LIBERTY Prubond 27844.60943 27844.60943
LIBERTY Cash Accumulation 138.404 138.404
LIBERTY Guardbank WB non Profit 16076.29 15684.186
LIBERTY Sage Non Profit 23206.415 22640.405
LIBERTY VIP growth 13175.50071 13175.50071
LIBERTY VIP Composite 182270.1097 182270.1097
LIBERTY UAL Non Profit 10193.809 9945.18
LIBERTY Variable 438.4293711 438.4293711
LIBERTY Equity Performance 484.7552016 484.7552016
LIBERTY Property 6303.642 6303.642
LIBERTY Property 6303.642 6303.642
LIBERTY Property 6303.642 6303.642
LIBERTY Balanced Bonus 5828.269 5828.269
LIBERTY Balanced Bonus 5828.269 5828.269
LIBERTY Index 40 30188.2411 30188.2411
LIBERTY Trade and Financial 461.5896556 461.5896556
LIBERTY Choice Equity 483.2425958 483.2425958
LIBERTY Private Equity 294.907 294.907
LIBERTY CPI Plus 266.2745227 266.2745227
LIBERTY Sandton Property 316.444 316.444
LIBERTY Sandton Property (G) 180.281 180.281
LIBERTY Guaranteed Global Equity index 146.664 146.664
LIBERTY Excelsior Progressive Bonus 135.965 135.965
LIBERTY Excelsior 6 Month Top40 Protector 127.461 127.461
LIBERTY Excelsior 12 Month Top40 Protector Tranche1 143.789 143.789
LIBERTY Excelsior 12 Month Top40 Protector Tranche2 136.15 136.15
LIBERTY Excelsior 24 Month Top40 Protector Tranche1 117.093 117.093
LIBERTY Excelsior 24 Month Top40 Protector Tranche2 133.562 133.562
LIBERTY Excelsior 24 Month Top40 Protector Tranche3 147.107 147.107
LIBERTY Excelsior 24 Month Top40 Protector Tranche4 142.283 142.283
LIBERTY Secured Capital 4677.3 4677.3
LIBERTY Secured Capital 4677.3 4677.3
LIBERTY Excelsior High Yield 201.529 201.529
LIBERTY Global Equity index 2 100 100
LIBERTY Secured RA - Sandton Properties 306.433 306.433
LIBERTY Excelsior Conservative 290.6458251 290.6458251
LIBERTY Excelsior Moderate Conservative 363.1663571 363.1663571
LIBERTY Excelsior Moderate 408.176629 408.176629
LIBERTY Excelsior Moderate Aggressive 438.5471371 438.5471371
LIBERTY Excelsior Aggressive 465.5417029 465.5417029
LIBERTY Excelsior Bond 309.2564824 309.2564824
LIBERTY Excelsior Index 40 360.7351006 360.7351006
LIBERTY Excelsior Industrial 736.0948906 736.0948906
LIBERTY Excelsior Financial 486.5822421 486.5822421
LIBERTY Excelsior Resources 278.5241576 278.5241576
LIBERTY Excelsior Small Companies 397.7264865 397.7264865
LIBERTY Excelsior CPI Plus 285.0539544 285.0539544
LIBERTY Excelsior Rand Hedge 124.9885773 124.9885773
LIBERTY Excelsior Shariah balanced 121.4904248 121.4904248
LIBERTY Excelsior Global Conservative 161.116 160.3147591
LIBERTY Excelsior Global Moderate Conservative 159.818 159.022525
LIBERTY Excelsior Global Moderate 153.793 153.027644
LIBERTY Excelsior Global Moderate Aggressive 149.228 148.4858377
LIBERTY Excelsior Global Aggressive 137.299 136.6155178
LIBERTY Excelsior Property 279.968 279.968
LIBERTY Excelsior Property Limited offer 279.968 279.968
LIBERTY Excelsior Property CPI 8% (G) 279.968 279.968
LIBERTY Excelsior Conservative (G) 290.6458251 290.6458251
LIBERTY Excelsior Moderate Conservative (G) 363.1663571 363.1663571
LIBERTY Excelsior Moderate (G) 408.176629 408.176629
LIBERTY Excelsior CPI Plus (G) 285.0539544 285.0539544
LIBERTY Excelsior Property (G) 279.968 279.968
LIBERTY Excelsior Lifetime Phase 5 465.5417029 465.5417029
LIBERTY Excelsior Lifetime Phase 4 438.5471371 438.5471371
LIBERTY Excelsior Lifetime Phase 3 408.176629 408.176629
LIBERTY Excelsior Lifetime Phase 2 363.1663571 363.1663571
LIBERTY Excelsior Lifetime Phase 1 290.6458251 290.6458251
LIBERTY Excelsior Conservative (C) 290.6458251 290.6458251
LIBERTY Excelsior Multi-Manager Conservative (C) 299.207 299.207
LIBERTY Excelsior Moderately Conservative (C) 363.1663571 363.1663571
LIBERTY Excelsior Multi-Manager Moderately Conservative (C) 357.205 357.205
LIBERTY Excelsior Moderate (C) 408.176629 408.176629
LIBERTY Excelsior CPI Plus (C) 285.0539544 285.0539544
LIBERTY Excelsior Property (C) 279.968 279.968
LIBERTY Excelsior Multi-Manager Moderate (C) 390.317 390.317
LIBERTY Excelsior Multi-Manager CPI Plus (C) 189.372 189.372
LIBERTY Excelsior Managed (C) 188.1941194 188.1941194
LIBERTY Excelsior Moderately Aggressive (C) 438.5471371 438.5471371
LIBERTY Excelsior Multi-Manager Moderately Aggressive (C) 385.356 385.356
LIBERTY Excelsior Aggressive (C) 465.5417029 465.5417029
LIBERTY Excelsior Multi-Manager Aggressive (C) 453.843 453.843
LIBERTY Excelsior Conservative (C+) 290.6458251 290.6458251
LIBERTY Excelsior Multi-Manager Conservative (C+) 299.207 299.207
LIBERTY Excelsior Moderately Conservative (C+) 363.1663571 363.1663571
LIBERTY Excelsior Multi-Manager Moderately Conservative (C+) 357.205 357.205
LIBERTY Excelsior Moderate (C+) 408.176629 408.176629
LIBERTY Excelsior CPI Plus (C+) 285.0539544 285.0539544
LIBERTY Excelsior Property (C+) 279.968 279.968
LIBERTY Excelsior Multi-Manager Moderate (C+) 390.317 390.317
LIBERTY Excelsior Multi-Manager CPI Plus (C+) 189.372 189.372
LIBERTY Excelsior Managed (C+) 188.1941194 188.1941194
LIBERTY Excelsior Conservative(C Spec Off) 290.6458251 290.6458251
LIBERTY Excelsior Conservative(C+ Spec Off) 290.6458251 290.6458251
LIBERTY Excelsior Moderate (C Spec Off) 408.176629 408.176629
LIBERTY Excelsior Moderate (C+ Spec Off) 408.176629 408.176629
LIBERTY Excelsior CPI+ (C Spec Off) 285.0539544 285.0539544
LIBERTY Excelsior CPI+ (C+ Spec Off) 285.0539544 285.0539544
LIBERTY Excelsior Managed (C Spec Off) 188.1941194 188.1941194
LIBERTY Excelsior Managed (C+ Spec Off) 188.1941194 188.1941194
LIBERTY Excelsior Property (C Spec Off) 279.968 279.968
LIBERTY Excelsior Property (C+ Spec Off) 279.968 279.968
LIBERTY Excelsior LifeTime Phase 3 (C) 408.176629 408.176629
LIBERTY Excelsior LifeTime Phase 2 (C) 363.1663571 363.1663571
LIBERTY Excelsior LifeTime Phase 1 (C) 290.6458251 290.6458251
STANLIB LA Excelsior Conservative 177.1930952 177.1930952
STANLIB LA Excelsior Moderately Conservative 188.2891782 188.2891782
STANLIB LA Excelsior Moderate 193.8683766 193.8683766
STANLIB LA Excelsior Moderately Aggressive 195.6651394 195.6651394
STANLIB LA Excelsior Aggressive 197.598632 197.598632
STANLIB LA Excelsior Conservative (G) 177.1930952 177.1930952
STANLIB LA Excelsior Moderately Conservative (G) 188.2891782 188.2891782
STANLIB LA Excelsior Moderate (G) 193.8683766 193.8683766
STANLIB LA Excelsior Multi-Manager Conservative 235.566 235.566
STANLIB LA Excelsior Multi-Manager Moderately Conservative 255.547 255.547
STANLIB LA Excelsior Multi-Manager Moderate 265.726 265.726
STANLIB LA Excelsior Multi-Manager Moderately Aggressive 258.767 258.767
STANLIB LA Excelsior Multi-Manager Aggressive 281.495 281.495
STANLIB LA Excelsior Multi-Manager Conservative (G) 235.566 235.566
STANLIB LA Excelsior Multi-Manager Moderately Conservative (G) 255.547 255.547
STANLIB LA Excelsior Multi-Manager Moderate (G) 265.726 265.726
STANLIB LA Excelsior Global Conservative 170.114 169.2679225
STANLIB LA Excelsior Global Moderately Conservative 162.891 162.0804524
STANLIB LA Excelsior Global Moderate 153.489 152.725252
STANLIB LA Excelsior Global Moderately Aggressive 146.675 145.9453112
STANLIB LA Excelsior Global Aggressive 130.951 130.299961
Ermitage LA Ermitage Global Conservative 85.256 84.832
Ermitage LA Ermitage Global Moderately Conservative 88.007 87.569
Ermitage LA Ermitage Global Moderate 95.507 95.032
Ermitage LA Ermitage Global Moderately Aggressive 91.69 91.234
Ermitage LA Ermitage Global Aggressive 95.507 95.032
STANLIB LA Standard Bank Money Market 335.416 335.416
STANLIB LA Excelsior Income 168.4612509 168.4612509
STANLIB LA Excelsior Bond 171.6798954 171.6798954
STANLIB LA Excelsior CPI Plus 170.8103664 170.8103664
STANLIB LA Excelsior CPI Plus (G) 170.8103664 170.8103664
STANLIB LA Excelsior Rand Hedge 124.9885773 124.9885773
STANLIB LA Excelsior Shariah balanced 121.4904248 121.4904248
STANLIB LA Excelsior Dynamic Return 121.818 121.818
STANLIB LA Excelsior Cautious Managed 122.807 122.807
STANLIB LA Excelsior Shari'ah Equity 94.862 94.862
STANLIB LA Excelsior Nationbuilder 102.065 102.065
FUTUREGROWTH LA Albarkah 1288.16 1284.49
ALLAN GRAY LA Balanced 6192.92 6192.92
OASIS LA Crescent Equity 679.516 677.58
Allan Gray LA Allan Gray Equity 20868.15 20868.15
Allan Gray LA Allan Gray Stable 2465.91 2465.91
Coronation LA Coronation Equity 8972.67 8972.67
Coronation LA Coronation Balanced Plus 6096.99 6096.99
Coronation LA Coronation Balanced Defensive 131.72 131.72
Investec LA Investec Equity 2679.103 2671.47
Investec LA Investec Managed 601.072 599.36
Investec LA Investec Cautious Managed 130.04 129.67
Nedgroup Investments LA Nedgroup Investments Rainmaker 7805.337 7783.1
Nedgroup Investments LA Nedgroup Investments Managed 408.52 408.52
Nedgroup Investments LA Nedgroup Investments Stable 125.84 125.84
Nedgroup Investments LA VALUE 4143.274 4131.47
RMB LA RMB Equity 2533.482 2533.482
RMB LA RMB Balanced 531.743 531.743
RMB LA RMB Conservative 140.136 140.136
ABSA LA ABSA Absolute 138.099 138.099
ABSA LA ABSA Select Equity 408.235 408.235
ABSA LA ABSA Balanced 345.606 345.606
ABSA LA ABSA Inflation Beater Fund 149.583 149.583
ABSA LA ABSA International Fund of Funds 94.212 94.212
Coronation LA Coronation Top Twenty 7989.72 7989.72
STANLIB LA Excelsior Managed 188.1941194 188.1941194
STANLIB LA Excelsior Managed (G) 188.1941194 188.1941194
STANLIB Excelsior LA Managed (Not X1000) 188.1941194 188.1941194
STANLIB Excelsior LA Managed (Not X1000) G 188.1941194 188.1941194
STANLIB Excelsior LA Progressive Bonus 135.965 135.965
STANLIB LA Excelsior Property 279.968 279.968
STANLIB LA Excelsior Property (G) 279.968 279.968
STANLIB LA Excelsior Listed Property 242.656 242.656
STANLIB LA Excelsior Financials 190.5289748 190.5289748
STANLIB LA Excelsior Industrial 274.8752217 274.8752217
STANLIB LA Excelsior Index 40 191.3960777 191.3960777
STANLIB LA Excelsior Resources 157.0382397 157.0382397
STANLIB LA Excelsior Small Companies 104.2073941 104.2073941
STANLIB LA Excelsior CPI + (C Spec offer) 170.8103664 170.8103664
STANLIB LA Excelsior Moderate (C Spec offer) 193.8683766 193.8683766
STANLIB LA Excelsior Lifetime Phase 1 177.1930952 177.1930952
STANLIB LA Excelsior Lifetime Phase 2 188.2891782 188.2891782
STANLIB LA Excelsior Lifetime Phase 3 193.8683766 193.8683766
STANLIB LA Excelsior Lifetime Phase 4 195.6651394 195.6651394
STANLIB LA Excelsior Lifetime Phase 5 197.598632 197.598632
STANLIB LA Excelsior Conservative (C) 177.1930952 177.1930952
STANLIB LA Excelsior Moderately Conservative (C) 188.2891782 188.2891782
STANLIB LA Excelsior Moderate (C) 193.8683766 193.8683766
STANLIB Multi-Manager LA Excelsior Multi-Manager Conservative (C) 235.566 235.566
STANLIB Multi-Manager LA Excelsior Multi-Manager Moderately Conservative (C) 255.547 255.547
STANLIB Multi-Manager LA Excelsior Multi-Manager Moderate (C) 265.726 265.726
STANLIB LA Excelsior CPI Plus (C) 170.8103664 170.8103664
STANLIB LA Excelsior CPI Plus (C+) 170.8103664 170.8103664
STANLIB LA Excelsior CPI Plus (C) T:10 - 14 170.8103664 170.8103664
STANLIB LA Excelsior CPI Plus (C+) T:10 - 14 170.8103664 170.8103664
STANLIB LA Excelsior CPI Plus (C) T:15 170.8103664 170.8103664
STANLIB LA Excelsior CPI Plus (C+) T:15 170.8103664 170.8103664
STANLIB Multi-Manager LA Excelsior Multi-Manager CPI Plus 189.372 189.372
STANLIB Multi-Manager LA Excelsior Multi-Manager CPI Plus (C) 189.372 189.372
STANLIB Multi-Manager LA Excelsior Multi-Manager CPI Plus (C+) 189.372 189.372
STANLIB Multi-Manager LA Excelsior Multi-Manager CPI Plus (C) T:10 - 14 189.372 189.372
STANLIB Multi-Manager LA Excelsior Multi-Manager CPI Plus (C+) T:10 - 14 189.372 189.372
STANLIB Multi-Manager LA Excelsior Multi-Manager CPI Plus (C) T:15 189.372 189.372
STANLIB Multi-Manager LA Excelsior Multi-Manager CPI Plus (C+) T:15 189.372 189.372
STANLIB LA Excelsior Property (C) 279.968 279.968
STANLIB LA Excelsior Property (C+) 279.968 279.968
STANLIB LA Excelsior Property (C) T:10 - 14 279.968 279.968
STANLIB LA Excelsior Property (C+) T:10 - 14 279.968 279.968
STANLIB LA Excelsior Property (C) T:15 279.968 279.968
STANLIB LA Excelsior Property (C+) T:15 279.968 279.968
STANLIB LA Excelsior Managed (C) 188.1941194 188.1941194
STANLIB LA Excelsior Managed (C+) 188.1941194 188.1941194
STANLIB LA Excelsior Managed (C) T:10 - 14 188.1941194 188.1941194
STANLIB LA Excelsior Managed (C+) T:10 - 14 188.1941194 188.1941194
STANLIB LA Excelsior Managed (C) T:15 188.1941194 188.1941194
STANLIB LA Excelsior Managed (C+) T:15 188.1941194 188.1941194
STANLIB LA Excelsior LifeTime Phase 3 (C) 193.8683766 193.8683766
STANLIB LA Excelsior LifeTime Phase 2 (C) 188.2891782 188.2891782
STANLIB LA Excelsior LifeTime Phase 1 (C) 177.1930952 177.1930952
PSG KONSULT Preserver FOF 1487.08 1487.08
PSG KONSULT International FOF 124.76 124.76
PSG KONSULT Moderate FOF 1848.47 1848.47
PSG KONSULT Creator 2018.58 2018.58
PSG KONSULT Income 1144.47 1144.47
Noble Balalnced FOF 150.647 150.647
Noble Strategic income FOF 132.763 132.763
Noble Wealth Creator FOF 164.297 164.297
STANLIB Multi-Manager LA Investec house view 528.052 528.052
STANLIB Multi-Manager LA Coronation house view 547.456 547.456
STANLIB Multi-Manager LA OMAM house view 460.676 460.676
STANLIB Multi-Manager LA SIM house view 421.751 421.751
STANLIB Multi-Manager LA RMBAM house view 460.126 460.126
STANLIB Multi-Manager LA Oasis house view Local 249.845 249.845
LIBERTY UNIT TRUSTS Wealthbuilder 15646.011 15646.011
LIBERTY UNIT TRUSTS Prosperity 563.23 563.23
LIBERTY UNIT TRUSTS Industrial 1366.488 1366.488
LIBERTY UNIT TRUSTS Capital Focus 481.723 481.723
LIBERTY UNIT TRUSTS Resourses C 2301.651 2301.651
LIBERTY UNIT TRUSTS Stability 505.355 505.355
LIBERTY UNIT TRUSTS Wealthbuilder Conv 15646.011 15646.011
LIBERTY UNIT TRUSTS Prosperity Conv 563.23 563.23
LIBERTY UNIT TRUSTS Industrial Conv 1366.488 1366.488
LIBERTY UNIT TRUSTS Capital Focus Conv 481.723 481.723
LIBERTY UNIT TRUSTS Resources Conv 2301.651 2301.651
LIBERTY UNIT TRUSTS Stability Conv 505.355 505.355
LIBERTY UNIT TRUSTS Income 138.545 138.545
LIBERTY UNIT TRUSTS Income 256.2296369 256.2296369
LIBERTY UNIT TRUSTS Global 239.904 239.904
LIBERTY UNIT TRUSTS RSA Small Cap 152.826 152.826
LIBERTY UNIT TRUSTS RSA equity 588.832 588.832
LIBERTY UNIT TRUSTS Money Market 335.416 335.416
LIBERTY UNIT TRUSTS Money Fund 336.302 336.302
LIBERTY UNIT TRUSTS Money Fund For LPSA and External Funds 336.302 336.302
LIBERTY UNIT TRUSTS Money Market (0.30 bps) 336.302 336.302
LIBERTY UNIT TRUSTS Single manager presevation 336.302 336.302
LIBERTY UNIT TRUSTS ALSI 40 Tracker 338.391 338.391
LIBERTY UNIT TRUSTS Bond 174.688 174.688
LIBERTY UNIT TRUSTS Corporate Bond 106.488 106.488
LIBERTY UNIT TRUSTS Global Brands 99.432 99.432
LIBERTY UNIT TRUSTS MM International FOF B1 108.413 108.413
LIBERTY UNIT TRUSTS MM International FOF A 103.215 103.215
LIBERTY UNIT TRUSTS MM International FOF R 110.892 110.892
LIBERTY UNIT TRUSTS Value 613.964 613.964
LIBERTY UNIT TRUSTS Fifth Wave 216.794 216.794
LIBERTY UNIT TRUSTS Quants 328.678 328.678
LIBERTY UNIT TRUSTS Financials 280.143 280.143
LIBERTY UNIT TRUSTS Capital Growth Class A 481.098 481.098
LIBERTY UNIT TRUSTS Stability Class A 504.248 504.248
Stanlib Balanced Trustess FOF 153.909 153.909
Stanlib Dynamic return B1 121.818 121.818
Stanlib Excelsior Dynamic return 121.818 121.818
STANLIB Inflation Beater B1 109.472 109.472
STANLIB Cash Plus A 100.68 100.68
STANLIB Excelsior Nationabuilder 102.065 102.065
STANLIB Nationbuilder Fund - B1 102.09 102.09
STANLIB Dividend income Fund 100.127 100.127
STANLIB Balanced Cautious 122.716 122.716
STANLIB Balanced Cautious A2 122.807 122.807
STANLIB International Balanced Fund Of Fund - B1 149.785 149.785
STANLIB International Aggressive Fund Of Fund - B1 129.176 129.176
STANLIB International Conservative Fund Of Fund - B1 148.075 148.075
STANLIB Balanced Cautious 122.716 122.716
STANLIB Excelsior Shari'ah Equity 94.862 94.862
STANLIB Shari'ah Equity (LCB Only) 94.542 94.542
Stanlib Flexible Income 112.936 112.936
STANLIB MM Inflation Plus 5 273.54 273.54
STANLIB MM Inflation Plus 3 194.481 194.481
STANLIB MM Inflation Plus 1 87.457 87.457
STANLIB MM Investec house View 528.052 528.052
STANLIB MM Coronation house View 547.456 547.456
STANLIB MM Old Mutual House View 460.676 460.676
STANLIB MM Sanlam House View 421.751 421.751
STANLIB MM RMB House View 460.126 460.126
STANLIB MM Oasis House View 249.845 249.845
STANLIB Symphony Aggressive Pru 3134.347 3134.347
STANLIB Symphony Aggressive 3440.363 3440.363
STANLIB Symphony Moderate 2766.354 2766.354
STANLIB Symphony Conservative 2221.633 2221.633
STANLIB Symphony Income 1421.186 1421.186
STANLIB Symphony International 1156.756 1156.756
LIBAM Global Managed 235.73 234.5577088
FRANK RUSSELL US Equity 2440.23 2428.09
FRANK RUSSELL US Small Caps 210.099 209.054
FRANK RUSSELL UK Equity 4572.134 4549.387
FRANK RUSSELL European Equity 5005.097 4980.196
FRANK RUSSELL Japanese Equity 1188.059 1182.149
FRANK RUSSELL Pacific Basic Equity 2345.094 2333.427
FRANK RUSSELL Emerging Markets 2693.787 2680.385
FRANK RUSSELL Global Bond 2230.585 2219.488
ERMITAGE Dollar Money 130.466 130.466
ERMITAGE International Euro Money 143.218 143.218
ERMITAGE Sterling money 243.267 243.267
ERMITAGE Alpha fund 1726.63 1718.04
ERMITAGE Alpha fund Euro 1426.507 1419.41
STANLIB Asia Pacific 12549.84 12487.403
STANLIB Global Equity 13573.766 13506.235
STANLIB Pan European 15720.546 15642.334
STANLIB North American 10027.528 9977.64
STANLIB High Apha Origin Equity Fund 6260.468 6229.321
STANLIB Global Bond 16469.566 16387.628
ERMITAGE Asset Select 142.911 142.2
ERMITAGE Asset Select EURO 166.589 165.76
ERMITAGE Asset Select EURO (G) 166.589 165.76
ERMITAGE Global Aggressive 95.507 95.032
ERMITAGE Global Conservative 85.256 84.832
ERMITAGE Global Conservative (G) 85.256 84.832
ERMITAGE Global Moderate 95.507 95.032
ERMITAGE Global Moderate (G) 95.507 95.032
ERMITAGE Global Moderately Aggressive 91.69 91.234
ERMITAGE Global Moderately Conservative 88.009 87.571
ERMITAGE Global Moderately Conservative (G) 88.009 87.571
ERMITAGE Conservative EURO 109.994 109.446
ERMITAGE Moderately Conservative EURO 105.302 104.778
ERMITAGE Moderate EURO 114.79 114.219
ERMITAGE Moderately Aggressive EURO 115.814 115.238
ERMITAGE Aggressive EURO 121.078 120.476
ABSA General 896.192 893.639
ABSA Balanced 346.593 345.606
ABSA Absolute 138.099 138.099
ABSA Inflation Beater 149.583 149.583
ABSA International FOF 94.212 94.212
ABSA Select Equity 408.235 408.235
ABSA International 203.087 202.508
ABSA Income 109.257 108.946
ABSA Specialist 134.834 134.45
ABSA Financial and Industrial 133.51 133.13
ABSA Growth Fund of Funds 403.905 402.754
ABSA Allrounder (Aggressive) Fund of Funds 384.663 383.567
ABSA Flexible FOF 327.087 326.155
ABSA Dollar Bond fund 143.286 142.878
ABSA Worldwide Tech 40.886 40.77
ABSA Div Income Class C2 100.183 100.183
NEDBANK Global 387.56 387.56
NEDBANK Value 4143.274 4131.47
COMMUNITY Growth 829.553 827.19
COMMUNITY Gilt 152.374 151.94
CORONATION Equity 8972.67 8972.67
CORONATION Balanced 6096.99 6096.99
CORONATION Balanced DEFENSIVE 131.72 131.72
CORONATION Specialist Growth 4819.02 4819.02
CORONATION Specialist Bond 1393.41 1393.41
CORONATION International Growth 3752.48 3752.48
CORONATION ALSI 40 Tracker 3971.04 3971.04
CORONATION Consumer 8102.87 8102.87
CORONATION New Era 4634.153 4634.153
CORONATION Financial Growth 3291.27 3291.27
CORONATION Cyclical 8297.15 8297.15
CORONATION Top 20 7989.72 7989.72
CORONATION Income 1104.63 1104.63
CORONATION Property Equity 3764.95 3764.95
CORONATION Coronation Balanced Defensive B3 131.15 131.15
CORONATION Coronation Capital plus B4 2972.84 2972.84
CORONATION Optimum Growth 4155.05 4155.05
CORONATION Strategic Income 1410.87 1410.87
NIB/SYFRETS Selected Financial Opportunities 12907.293 12870.52
STANLIB MM (Lodestone) Aggressive 519.176 519.176
STANLIB MM (Lodestone) Moderate 479.164 479.164
STANLIB MM (Lodestone) Conservative 392.822 392.822
STANLIB MM (Lodestone) Staff Moderate 434.393 434.393
STANLIB MM (Lodestone) Excelsior MM CPI Plus 189.372 189.372
STANLIB MM (Lodestone) Corporate MM CPI Plus 189.372 189.372
Lodestone (Excelsior Via LSI) Conservative 105.168 105.168
Lodestone (Excelsior Via LSI) Moderate Conservative 106.804 106.804
Lodestone (Excelsior Via LSI) Moderate 107.067 107.067
Lodestone (Excelsior Via LSI) Moderate Aggressive 106.31 106.31
Lodestone (Excelsior Via LSI) Aggressive 102.135 102.135
INVESTEC GUINNESS Commodity 1448.547 1444.42
INVESTEC GUINNESS Cautious Managed 130.04 129.67
INVESTEC GUINNESS Value A 933.981 931.32
INVESTEC GUINNESS Emerging Companies 932.798 930.14
INVESTEC GUINNESS Index 627.989 626.2
INVESTEC GUINNESS Worldwide 386.501 385.4
INVESTEC GUINNESS Equity 2679.103 2671.47
INVESTEC GUINNESS Opportunity A 701.92 699.92
INVESTEC GUINNESS Opportunity Active Class B 701.93 699.93
INVESTEC GUINNESS Gilt 200.541 199.97
INVESTEC GUINNESS Managed 601.072 599.36
INVESTEC GUINNESS High Income A 119.601 119.26
INVESTEC GUINNESS Cash plus 105.972 105.67
INVESTEC GUINNESS Property Equity 330.76 330.76
INVESTEC GUINNESS Global Opportunity 101.118 100.83
INVESTEC GUINNESS Opportunity Income A 153.718 153.28
MARRIOT Dividend Growth 5638.294 5622.23
MARRIOT Income 109.482 109.17
MARRIOT Property Equity 977.194 974.41
MARRIOT Global Income 331.795 330.85
MARRIOT Global Real Estate 261.866 261.12
MARRIOT Core Income 120.483 120.14
MARRIOT Property Income 961.529 958.79
STANDARD BANK Income 87.353 87.353
STANDARD BANK Gold 591.177 591.177
STANDARD BANK Index 544.674 544.674
STANDARD BANK Managed Flexible 189.411 189.411
STANDARD BANK Multinational 352.158 352.158
STANDARD BANK International Equity FOF 97.219 97.219
STANDARD BANK Europe Growth 171.924 171.924
STANDARD BANK Worldwide FOF 117.876 117.876
STANDARD BANK Worldwide Pru FOF 148.266 148.266
STANDARD BANK US Dollar Bond FOF 149.76 149.76
STANDARD BANK Int Aggressive FOF 121.131 121.131
STANDARD BANK Int Balanced FOF 146.794 146.794
STANDARD BANK Int Conservative FOF 141.986 141.986
STANDARD BANK US Dollar Cash FOF 98.59 98.59
STANDARD BANK MM High Equity FOF 265.482 265.482
STANDARD BANK MM Medium Equity FOF 226.827 226.827
STANDARD BANK MM Low Equity FOF 169.308 169.308
STANDARD BANK MM Property 361.651 361.651
STANDARD BANK MM Flexible Property 197.445 197.445
STANDARD BANK MM Conservative FOF 299.207 299.207
STANDARD BANK MM Moderate Conservative FOF 357.205 357.205
STANDARD BANK MM Moderate FOF 390.317 390.317
STANDARD BANK MM Moderate Aggressive FOF 385.356 385.356
STANDARD BANK MM Aggressive FOF 453.843 453.843
STANDARD BANK Property Income 402.891 402.891
STANDARD BANK MM Real Return 165.479 165.479
STANDARD BANK MM Bond 110.942 110.942
STANDARD BANK MM Income 102.235 102.235
STANDARD BANK Euro Currency 109.757 109.757
STANDARD BANK International Property 164.579 164.579
STANLIB(SBC) Conservative FOF B1 125.903 125.903
STANLIB(SBC) Moderate Conservative FOF B1 144.229 144.229
STANLIB(SBC) Moderate FOF B1 152.192 152.192
STANLIB(SBC) Moderate Aggressive FOF B1 166.363 166.363
STANLIB(SBC) Aggressive FOF B1 174.173 174.173
STANLIB(SBC) Aggressive Income B1 130.557 130.557
STANLIB(SBC) Aggressive Income B2 130.805 130.805
STANLIB(SBC) Excelsior Listed Property 242.656 242.656
STANDARD BANK High Growth Flexible 603.363 603.363
STANDARD BANK Balanced Flexible 583.562 583.562
STANDARD BANK Conservative Flexible 469.791 469.791
STANDARD BANK Preserver Flexible 272.086 272.086
STANDARD BANK Guaranteed Flexible 271.885 271.885
GRYPHON SA Tracker 401.694 400.55
GRYPHON General Equity 319.48 318.57
GRYPHON Gilt 121.891 121.544
GRYPHON Managed Prudential 110.445 110.13
GRYPHON Stable Capital Pru 111.738 111.42
PSG Growth 534.483 532.96
PSG Balanced 326.151 325.221
PSG Advance Wealth Preserver FOF 2018.58 2018.58
PSG Gilt 163.034 162.57
PSG Opportunity 273.238 272.46
PSG KONSULT Preserver FOF 1487.08 1487.08
PSG KONSULT International FOF 124.76 124.76
PSG KONSULT Moderate FOF 1848.47 1848.47
PSG KONSULT Creator 2018.58 2018.58
PSG KONSULT Income 1144.47 1144.47
PSG International 124.76 124.76
RAND MERCHANT BANK Equity 2540.721 2533.482
RAND MERCHANT BANK Maximum Income 109.326 109.015
RAND MERCHANT BANK Gilt 163.458 162.992
RAND MERCHANT BANK Balanced 533.262 531.743
RAND MERCHANT BANK Conservative 140.136 140.136
RAND MERCHANT BANK Internation Bal FOF 161.727 161.727
RAND MERCHANT BANK Top 40 Index 409.773 408.606
RAND MERCHANT BANK Strategic Opportunities 637.227 635.412
RAND MERCHANT BANK Asset Allocation 245.58 244.88
RAND MERCHANT BANK Financial Services 317.574 316.669
RAND MERCHANT BANK Performer FOF 229.724 229.07
RAND MERCHANT BANK Value 838.443 836.054
RAND MERCHANT BANK Industrial (Consumer) 612.876 611.13
RAND MERCHANT BANK International Equity FOF 155.031 154.589
RAND MERCHANT BANK High Tide 450.767 449.483
RAND MERCHANT BANK Emerging Companies 972.084 969.315
RAND MERCHANT BANK Inter Bond 163.461 162.995
RAND MERCHANT BANK Worldwide Teletech 35.742 35.64
NIB/SYFRETS Growth 1627.818 1623.18
NIB/SYFRETS Income 128.497 128.131
NIB/SYFRETS Gilt 1663.948 1659.207
NIB/SYFRETS Mining & Resources 1281.872 1278.22
NIB/SYFRETS Universal Opportunity 153.618 153.18
NIB/SYFRETS Horizon 453.057 451.767
NIB/SYFRETS Quants Core 432.081 430.85
NIB/SYFRETS Bravata Worldwide flex 140.76 140.76
NIB/SYFRETS Positive return 121.91 121.91
NIB/SYFRETS Stable 126.08 126.08
NEDBANK Growth 371.526 370.468
NEDBANK Entrepreneur 919.329 916.71
NEDBANK Managed 410.66 409.49
NEDBANK Managed A 408.52 408.52
NEDBANK Stable 125.84 125.84
NEDBANK Flexible (Syncro) 290.62 289.792
NEDBANK International FOF 142.356 141.95
BRAIT Accelerated 634.869 633.06
BRAIT Managed 444.948 443.68
BRAIT Phambili 67.683 67.49
BRAIT Growth FOF 327.302 326.37
BRAIT International Growth FOF 159.146 158.693
NEDBANK Rainmaker 7805.337 7783.1
NEDBANK Bond Maximiser 1438.248 1434.15
NEDBANK Global Value 286.948 286.13
NEDBANK Balanced benevolent (Womens Initiative) 3035.608 3026.96
ALLAN GRAY Equity 20868.15 20868.15
ALLAN GRAY Stable 2465.91 2465.91
ALLAN GRAY Optimal 1683.07 1683.07
ALLAN GRAY Balanced 6192.92 6192.92
ALLAN GRAY Orbis Global Equity Feeder FOF 1893.28 1893.28
ALLAN GRAY Orbis global FOF 1510.58 1510.58
METROPOLITAN/CU Flexible Managed 409.787 408.62
METROPOLITAN/CU Income 119.129 118.79
INVESTEC GUINNESS Balanced FOF A 399.498 398.36
INVESTEC GUINNESS WW Flexible FOF 364.017 362.98
INVESTEC GUINNESS General Growth (Equity) 3589.105 3578.88
INVESTEC GUINNESS Global MM A 297.287 296.44
INVESTEC GUINNESS Moderate FOF B 262.82 262.82
INVESTEC GUINNESS Balanced FOF B 398.66 398.66
INVESTEC GUINNESS Cautious FOF B 176.88 176.88
FNB Balanced 480.393 479.024
FNB Growth 857.932 855.488
METROPOLITAN General Equity 1015.132 1012.24
METROPOLITAN Gilt 141.363 140.96
METROPOLITAN New Generation 175.34 174.84
METROPOLITAN Prudential Managed 149.486 149.06
METROPOLITAN Resources 880.438 877.93
METROPOLITAN International FOF 99.102 98.82
M CUBED Balanced FOF 233.05 232.386
M CUBED Equity FOF 317.571 316.666
M CUBED International 139.589 137.998
OLD MUTUAL Consumer 1440.94 1440.94
OLD MUTUAL Financial Services 879.95 879.95
OLD MUTUAL Flexible 940.6 937.92
OLD MUTUAL GIlt 365.12 365.12
OLD MUTUAL Global Equity 761.22 761.22
OLD MUTUAL Gold 857.93 857.93
OLD MUTUAL Growth 2002.706 1997
OLD MUTUAL High Yield 1372.06 1372.06
OLD MUTUAL Income 122.83 122.83
OLD MUTUAL Industrial 3653.692 3643.283
OLD MUTUAL Investors 24880.82 24880.82
OLD MUTUAL Mining 6276.42 6276.42
OLD MUTUAL Balanced (Sentinel) 984.64 984.64
OLD MUTUAL Small Companies 1268.404 1264.79
OLD MUTUAL Top Companies 2244.625 2238.23
OLD MUTUAL Value Funds 1450.32 1450.32
OLD MUTUAL Balanced A 986.862 984.05
OLD MUTUAL Investors A 24972.608 24901.461
OLD MUTUAL Top Companies A 2246.962 2240.56
OLD MUTUAL Stable Growth 506.593 505.15
OLD MUTUAL UK Money Market 229.93 229.93
OLD MUTUAL Global Technology 172.25 172.25
SAGE Financial Services 3469.334 3459.45
SAGE General Equity Fund 22705.092 22640.405
SAGE Gilt 1430.367 1426.292
SAGE Global 973.054 970.282
SAGE Performance 1892.684 1887.292
SAGE Resources 1625.203 1620.573
SAGE Scitech 532.323 530.806
SAGE Collective Wisdom FOF 741.934 739.82
SANLAM Worldwide FOF 1986.871 1981.21
SANLAM Financial 3681.649 3671.16
SANLAM Future Trends 478.403 477.04
SANLAM General 12813.325 12776.82
SANLAM Gilt 842.55 840.15
SANLAM Global Equity 266.216 264.7
SANLAM Income 110.726 110.41
SANLAM Index 8107.699 8084.6
SANLAM Industrial 8512.362 8488.11
SANLAM Prime Growth 2212.263 2205.96
SANLAM Provider 5253.949 5238.98
SANLAM Select 3942.582 3931.35
SANLAM Technology Fund 73.7 73.49
SANLAM Value Fund 2418.51 2411.62
SANLAM Aggressive 4507.231 4494.39
SANLAM Inflation Linked 372.02 370.96
SANLAM Managed FOF 3348.941 3339.4
SANLAM Europe Growth 221.2 219.94
FUTUREGROWTH Bond 306.336 305.463
FUTUREGROWTH Equity 1020.958 1018.05
FUTUREGROWTH Global 463.26 461.94
FUTUREGROWTH Income 595.456 593.76
FUTUREGROWTH Managed 949.283 946.579
FUTUREGROWTH Mining 1458.341 1454.187
FUTUREGROWTH Pure Specialist 1288.16 1284.49
FUTUREGROWTH Albarkah 1288.16 1284.49
FUTUREGROWTH Core Equity 5170.25 5155.52
INVESTMENT SOLUTIONS 62.5% Equity FOF 253.241 252.52
PRUDENTIAL Contrarian Max 677.751 675.82
PRUDENTIAL Optimiser 695.421 693.44
PRUDENTIAL Prudent Alloc 379.19 378.11
PRUDENTIAL High Yield 135.085 134.7
PRUDENTIAL Inflation Plus 249.441 248.73
PRUDENTIAL Global Value FOF 125.046 124.69
PRUDENTIAL Balanced B 381.417 380.33
PRUDENTIAL Div Maximiser B 677.781 675.85
PRUDENTIAL Equity B 697.096 695.11
OASIS Crescent 679.516 677.58
OASIS Property Equity 383.333 382.241
OASIS genral Equity 561.903 560.302
OASIS Crescent balanced High Equity FOF 114.098 113.773
OASIS balanced 391.984 390.867
NOBLE PP BALANCED FOF A1 150.647 150.647
NOBLE PP STRATEGIC INCOME FOF A1 132.763 132.763
NOBLE PP WEALTH CREATOR FOF A1 164.297 164.297
KAGISO Top 40 Tracker 3971.04 3971.04
KAGISO Equity Alpha 452.05 452.05
KAGISO Islamic Equity 150.63 150.63
KAGISO Kagiso Protector 2037.96 2037.96
African Harvest Aggressive Active Gilt 157.318 156.87
Segregated Advantage Coronation Aggressive CG77 0 0
Segregated Allan gray Global balanced CG78 0 0
Segregated Coronation managed CG79 0 0
Segregated Life Money market Ptf CG80 0 0
Catalyst SA PROPERTY D 242.175 241.485
FOORD Equity 4790.28 4790.28
FOORD international feeder Fund 1665.08 1665.08
REGARDING CAPITAL Core Manged 2494.947 2487.839
LIBERTY CORPORATE Preferred Assets 854.9920369 854.9920369
LIBERTY CORPORATE Liquid assets 936.752 936.752
Staff LIBERTY CORPORATE Staff Liquid assets 938.34 938.34
LIBERTY CORPORATE Gilts 5006.079012 5006.079012
LIBERTY CORPORATE Real Estate 1014.917 1014.917
LIBERTY CORPORATE BRIC.K 1014.917 1014.917
LIBERTY CORPORATE BRIC.K 1014.917 1014.917
LIBERTY CORPORATE BRIC.K 868.733 868.733
LIBERTY CORPORATE Real Estate 868.733 868.733
LIBERTY CORPORATE Growth Pensions 835.5307873 835.5307873
LIBERTY CORPORATE CPI Growth Pensions 214.494 214.494
LIBERTY CORPORATE ALSI 40 46364.999 46364.999
LIBERTY CORPORATE Financial and Industrial 784.9063132 784.9063132
LIBERTY CORPORATE Staff Financial and Industrial 795.3447074 795.3447074
LIBERTY CORPORATE Specialist Equity 901.4241431 901.4241431
LIBERTY CORPORATE Staff Specialist Equity 915.0721468 915.0721468
LIBERTY CORPORATE Wealth Development 689.5829419 689.5829419
LIBERTY CORPORATE Wealth Development 653.934 653.934
LIBERTY CORPORATE International Assets 352.339 350.5864563
LIBERTY CORPORATE Balanced Bonus 306.928 306.928
LIBERTY CORPORATE Specialised Balanced 903.5880939 903.5880939
LIBERTY CORPORATE Real Estate CPI 1014.917 1014.917
LIBERTY CORPORATE RA Liberty Property (1) 275.845 275.845
LIBERTY CORPORATE RA Liberty Equity (2) 69097.89606 69097.89606
LIBERTY CORPORATE RA Liberty Element Property (5) 2820.088 2820.088
LIBERTY CORPORATE RA Liberty Element Equity (6) 53440.12407 53440.12407
LIBERTY CORPORATE RA Liberty Equity Element (13) 4272.194286 4272.194286
LIBERTY CORPORATE RA Liberty Managed (16) 1354.437753 1354.437753
LIBERTY CORPORATE RA Capital Appreciation Plan (17) 1672.266795 1672.266795
LIBERTY CORPORATE RA Prism (18) 1672.266795 1672.266795
LIBERTY CORPORATE LIB Pension Cash 406 936.752 936.752
LIBERTY CORPORATE Absolute Returns 336.0053759 336.0053759
LIBERTY CORPORATE Advance Bonus (.5%Bid Offer) 248.779 247.541
LIBERTY CORPORATE Preservaton fund (tracking Adv bonus 484) 164.448 163.63
LIBERTY CORPORATE Taxed Corporate Real Estate 903.056 903.056
LIBERTY CORPORATE BRIC.K 868.638 868.638
LIBERTY CORPORATE LA Real Estate Fund (net of RFT) 170.928 170.928
LIBERTY CORPORATE Taxed Corporate International 344.46 342.7464555
LIBERTY CORPORATE LIB STAFF Conservative 340.4571445 340.4571445
LIBERTY CORPORATE LIB STAFF Aggressive 915.5584667 915.5584667
LIBERTY CORPORATE LIB STAFF Moderate 866.357492 866.357492
LIBERTY CORPORATE Shariah balanced 131.4126883 131.4126883
LIBERTY CORPORATE SA preferred Assets 415.477038 415.477038
LIBERTY CORPORATE SA Specialist balanced 360.4109616 360.4109616
LIBERTY CORPORATE Sa Specialist Equity 394.8573336 394.8573336
LIBERTY CORPORATE RA Absolute Returns (M) 240.3668261 240.3668261
LIBERTY CORPORATE Untaxed Absolute Returns (M) 235.350742 235.350742
LIBERTY CORPORATE Taxed Absolute Returns (M) 215.6004511 215.6004511
LIBERTY CORPORATE Company Absolute Returns (M) 206.7227437 206.7227437
LIBERTY CORPORATE RA Preferred Asset (M) 373.4784193 373.4784193
LIBERTY CORPORATE Untaxed Preferred Asset (M) 373.4024951 373.4024951
LIBERTY CORPORATE Taxed Preferred Asset (M) 344.1799597 344.1799597
LIBERTY CORPORATE Company Preferred Asset (M) 326.229081 326.229081
LIBERTY CORPORATE RA Liberty Equity Element (M) 446.4746175 446.4746175
LIBERTY CORPORATE Untaxed Liberty Equity Element (M) 449.8711426 449.8711426
LIBERTY CORPORATE Taxed Liberty Equity Element (M) 425.6993114 425.6993114
LIBERTY CORPORATE Company Liberty Equity Element (M) 398.2800855 398.2800855
LIBERTY CORPORATE SA Absolute 241.9002654 241.9002654
LIBERTY CORPORATE SA Absolute 241.9002654 241.9002654
LIBERTY CORPORATE Choice Assets 283.8954953 283.8954953
LIBERTY CORPORATE Lib staff Choice Assets 287.6601897 287.6601897
LIBERTY CORPORATE Single manager Growth 179.6240694 179.6240694
LIBERTY CORPORATE Single manager Consolodation 162.4581579 162.4581579
LIBERTY CORPORATE Overpayment Fund 1 1
SEGREGATED FUNDS FM Segregated 936.752 936.752
SEGREGATED FUNDS CORONATION. Segregated 936.752 936.752
SEGREGATED FUNDS INV. Segregated 936.752 936.752
SEGREGATED FUNDS NEDCOR. Segregated 936.752 936.752
SEGREGATED FUNDS SCMB. Segregated 936.752 936.752
SEGREGATED FUNDS RMB. Segregated 936.752 936.752
SEGREGATED FUNDS DMG. Segregated 936.752 936.752