Page 282 - Profile's Unit Trusts & Collective Investments - March 2025
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Marriott Money Market Fund

                                Marriott Money Market Fund
         Marriott Money Market Fund
         Sector: South African—Interest  FUND FOCUS
         Bearing—SA Money Market   The Marriott Money Market Fund has its primary objective to maximise interest income
         Fund benchmark: Average yield of  while preserving capital and providing immediate liquidity through investments in high
         Money Market as published by Hugo  quality money market instruments denominated in South African Rands. The fund is a
         Lambrechts                money market investment with competitive yields, low management fees and maximum
         Code (A): MIZM            security of capital. Although the mandate does not prescribe it, the portfolio is managed
                                   in conformity with prudential investment guidelines.
         Code (B): MIZB
                                    HISTORICAL PERFORMANCE % Annual equivalents of monthly distribution
          MANAGEMENT
                                         Jan  Feb  Mar  Apr  May  Jun  Jul  Aug  Sep  Oct  Nov  Dec
         Marriott Asset Management  2024  8.87  9.11  8.85  9.18  8.63  8.74  8.56  8.79  8.48  8.40  8.34  8.27
         All asset management decisions are made  2023  7.11  7.28  7.64  7.88  7.84  8.10  8.66  8.67  8.76  8.84  8.83  8.82
         together with the Marriott Investment  2022  4.11  4.24  4.46  4.66  4.58  4.96  5.20  5.44  5.71  6.14  6.36  6.71
         Committee using an income-focused ap-  2021  3.59  3.47  3.41  3.63  3.61  3.71  3.73  3.90  3.80  3.86  3.87  4.07
         proach to investing.
                                    HISTORICAL DISTRIBUTIONS Actual payout (cents/unit) & 12-mnth historic yields
          DETAILS as at 31 December 2024  Period Ending Jan  Feb  Mar  Apr  May  Jun  Jul  Aug  Sep  Oct  Nov  Dec
          All fees and charges include Vat  2024 (A)  0.72  0.67  0.72  0.72  0.71  0.68  0.70  0.72  0.67  0.69  0.66  0.68
         Formation date:   1 Feb 2008  2024 (B)  0.69  0.63  0.70  0.68  0.70  0.67  0.69  0.69  0.66  0.68  0.64  0.66
         Reclassified date:  22 Feb 2008  2023 (A)  0.58  0.54  0.63  0.63  0.64  0.64  0.71  0.71  0.69  0.72  0.70  0.72
         Top-up investment:   R500  2023 (B)  0.57  0.52  0.61  0.61  0.61  0.62  0.69  0.69  0.67  0.70  0.68  0.69
         No of unitholders:   2072  2022 (A)  0.34  0.32  0.37  0.38  0.38  0.40  0.43  0.45  0.46  0.51  0.51  0.55
         Broker p.a. com (A):  0.575%  2022 (B)  0.32  0.30  0.36  0.35  0.38  0.38  0.41  0.43  0.44  0.49  0.49  0.54
         Broker p.a. com (B):  0.575%
         Annual fee (A):      0.29%
         TER (A) 12/24:       0.31%
         TER Perf% (A):       0.00%
         Annual fee (B):     0.575%
         TER (B) 12/24:       0.60%
         TER Perf% (B):       0.00%
         Fund value:       R374.46m
         Risk rating:          Low
         Income declaration:  Monthly
         Income payment:    Monthly





































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