Fund MDDs

Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
BCI Best Blend Balanced Fund (C) BBBCF 31 August 2025 174.58 26 September 2025
BCI Best Blend Cautious Fund (C) BBCCF 31 August 2025 149.86 26 September 2025
BCI Best Blend Flexible Income Fund (C) BBBFC 31 August 2025 120.53 26 September 2025
BCI Best Blend Specialist Equity Fund (C) BBBEC 31 August 2025 196.41 26 September 2025
BCI Diversified Real Growth Fund of Funds (A) BDRGFA 31 August 2025 111.32 26 September 2025
BCI Enhanced Equity Fund (B) BCEEF 31 August 2025 263.41 26 September 2025
BCI Flexible Fund (A) CUGT 31 August 2025 1528.32 26 September 2025
BCI Institutional Worldwide Flexible Growth Fund (A) BIGFA 31 August 2025 177.32 26 September 2025
BCI Money Market Fund (A) MVMM 31 August 2025 100.00 26 September 2025
BCI SA Flexible Fund (A) BCFXFA 31 August 2025 112.12 26 September 2025
BCI Value Fund (B) BCVFD 31 August 2025 179.79 26 September 2025
BCI Worldwide Opportunities Fund (A) BWOFA 31 August 2025 119.44 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
3B BCI Blended Equity Fund (A) SBEEFA 31 August 2025 198.67 26 September 2025
3B BCI Cautious Managed Fund (A) MNIP 31 August 2025 270.95 26 September 2025
3B BCI Equity Fund (A) MNEF 31 August 2025 304.10 26 September 2025
3B BCI Flexible Balanced Fund (B) 3BBCFB 31 August 2025 113.99 26 September 2025
3B BCI Flexible Defensive Fund (B) 3BBDFB 31 August 2025 109.98 26 September 2025
3B BCI Flexible Managed Fund (A) MNFF 31 August 2025 353.79 26 September 2025
3B BCI Income Fund (A) BCIIFA 31 August 2025 109.72 26 September 2025
3B BCI Prudential Fund of Funds (3B1) MPRU 31 August 2025 367.31 26 September 2025
3B BCI Stable Fund of Funds (3B1) MSTA 31 August 2025 222.89 26 September 2025
3B BCI Worldwide Flexible Fund of Funds (3B1) MW3B1 31 August 2025 270.27 26 September 2025
3B BCI Worldwide Flexible Growth Fund (A) BWGFA 31 August 2025 143.57 26 September 2025
3B BCI Worldwide Growth Fund of Funds (A) IBWFFA 31 August 2025 237.74 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
4D BCI Aggressive Flexible Fund of Funds (A) MDAF 31 August 2025 264.48 26 September 2025
4D BCI Cautious Fund of Funds (A) MDCU 31 August 2025 187.27 26 September 2025
4D BCI Flexible Fund (A) MDFF 31 August 2025 199.48 26 September 2025
4D BCI Moderate Fund of Funds (A) MDMF 31 August 2025 266.73 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
36ONE BCI Equity Fund (A) MNTR 31 August 2025 1257.48 26 September 2025
36ONE BCI Flexible Opportunity Fund (A) MNFO 31 August 2025 1213.11 26 September 2025
36ONE BCI Global Equity Feeder Fund (A) 36FNDA 31 August 2025 190.42 26 September 2025
36ONE BCI SA Equity Fund (C) BCSEC 31 August 2025 300.34 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
AS Forum BCI Aggressive Fund of Funds (A) MASA 31 August 2025 385.90 26 September 2025
AS Forum BCI Moderate Fund of Funds (A) MASM 31 August 2025 324.92 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Accorn BCI Balanced Fund (B) WMMCB 31 August 2025 262.15 26 September 2025
Accorn BCI Equity Fund (A) WMEFA 31 August 2025 132.27 26 September 2025
Accorn BCI International Fund of Funds (C) WMICC 31 August 2025 170.34 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
All Weather BCI Balanced Fund (A1) ABWFA1 31 August 2025 134.75 26 September 2025
All Weather BCI Best Ideas Equity Fund (A) ALLEFA 31 August 2025 163.69 26 September 2025
All Weather BCI Bond Fund (A1) ABBFA2 31 August 2025 117.92 26 September 2025
All Weather BCI Equity Fund (B2) AWNEB2 31 August 2025 1678.19 26 September 2025
All Weather BCI Flexible Income Fund (A) AWRFIA 31 August 2025 114.46 26 September 2025
All Weather BCI Property Fund (A1) AWBPA1 31 August 2025 122.54 26 September 2025
All Weather BCI SA Balanced Fund (A) ALBSFA 31 August 2025 133.92 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Aluwani BCI Balanced Fund (A) BCIBFA 31 August 2025 143.54 26 September 2025
Aluwani BCI Enhanced Yield Fund (B) ALYFDB 31 August 2025 101.67 26 September 2025
Aluwani BCI Flexible Income Fund (A) BCIFFA 31 August 2025 108.87 26 September 2025
Aluwani BCI High Yield Fund (A) AHYFDA 31 August 2025 101.85 26 September 2025
Aluwani BCI Top 25 Equity Fund (A) RSOA 31 August 2025 1929.50 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Amity BCI Diversified Income Fund (A) ABDIFA 31 August 2025 109.38 26 September 2025
Amity BCI Equity Fund (A) AMBEFA 31 August 2025 114.42 26 September 2025
Amity BCI Global Diversified Fund of Funds (A) AGDFA 31 August 2025 206.90 26 September 2025
Amity BCI Managed Select Fund of Funds (A) ABMSA 31 August 2025 145.11 26 September 2025
Amity BCI Prudent Fund of Funds (A) MAPF 31 August 2025 238.70 26 September 2025
Amity BCI Steady Growth Fund of Funds (A) ABSSA 31 August 2025 128.12 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Ampersand BCI Balanced Fund of Funds (A1) ASCPL6 31 August 2025 229.31 26 September 2025
Ampersand BCI Bond Fund (B) AMSBFB 31 August 2025 1089.28 26 September 2025
Ampersand BCI Cautious Fund of Funds (A1) ASCFA1 31 August 2025 192.24 26 September 2025
Ampersand BCI Equity Fund (A) ASEFDA 31 August 2025 164.08 26 September 2025
Ampersand BCI Global Balanced Feeder Fund (A) ABGBFA 31 August 2025 110.21 26 September 2025
Ampersand BCI Income Fund (A) ASIIFA 31 August 2025 1129.74 26 September 2025
Ampersand BCI Moderate Fund of Funds (A1) ASCPS4 31 August 2025 209.23 26 September 2025
Ampersand BCI Property Fund (B) AFIB1 31 August 2025 88.78 26 September 2025
Ampersand BCI Worldwide Flexible Fund of Funds (A) AMWFFA 31 August 2025 119.33 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
AnBro BCI Global Equity Fund (A) ANGGFA 31 August 2025 103.43 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Anchor BCI Africa Flexible Income Fund (A) ABAIA 31 August 2025 122.83 26 September 2025
Anchor BCI Bond Fund (A) ABFA 31 August 2025 115.80 26 September 2025
Anchor BCI Core Income Fund (A) ABCIIA 31 August 2025 103.96 26 September 2025
Anchor BCI Diversified Growth Fund (A) ABDGA 31 August 2025 183.15 26 September 2025
Anchor BCI Diversified Moderate Fund (A) ABDAA 31 August 2025 165.37 26 September 2025
Anchor BCI Diversified Stable Fund (A) ABDSA 31 August 2025 151.33 26 September 2025
Anchor BCI Equity Fund (A) AMEFA 31 August 2025 302.14 26 September 2025
Anchor BCI Flexible Fund (A) AMFFA 31 August 2025 109.99 26 September 2025
Anchor BCI Flexible Income Fund (A) ABFIA 31 August 2025 111.92 26 September 2025
Anchor BCI Global Equity Feeder Fund (A) ABGEFF 31 August 2025 365.05 26 September 2025
Anchor BCI Global Flexible Income Fund (B) ABGFFB 31 August 2025 101.52 26 September 2025
Anchor BCI Global Technology Fund (A) ABGTA 31 August 2025 211.44 26 September 2025
Anchor BCI Managed Fund (A) ABMF 31 August 2025 165.14 26 September 2025
Anchor BCI Moderate Worldwide Flexible Fund (C) BBMFFC 31 August 2025 224.33 26 September 2025
Anchor BCI Property Fund (A) ABPFA 31 August 2025 67.94 26 September 2025
Anchor BCI SA Equity Fund (A) ANBEFA 31 August 2025 161.07 26 September 2025
Anchor BCI Worldwide Flexible Fund (A) AMWFA 31 August 2025 300.72 26 September 2025
Anchor BCI Worldwide Opportunities Fund (C) ANBOFC 31 August 2025 126.86 26 September 2025
BCI Worldwide Flexible Style Fund (C) BCWFFC 31 August 2025 151.70 26 September 2025
Instit BCI Worldwide Opportunities Fund (A) INSOFA 31 August 2025 143.89 26 September 2025
Skyblue BCI Flexible Fund (A) SKBFFA 31 August 2025 121.04 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Anchor Securities BCI Worldwide Growth and Income Fund (A) ABWFA 31 August 2025 111.20 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Argon BCI Absolute Return Fund (A) AARFA 31 August 2025 123.79 26 September 2025
Argon BCI Bond Fund (A) ABIFA 31 August 2025 111.92 26 September 2025
Argon BCI Equity Fund (C) ABCEFC 31 August 2025 104.17 26 September 2025
Argon BCI Flexible Income (A) ARGFIA 31 August 2025 115.66 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
ADB BCI Balanced Fund of Funds (A) MADB 31 August 2025 299.14 26 September 2025
ADB BCI Flexible Prudential Fund of Funds (A) MADF 31 August 2025 331.65 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
BCI Artisan Global Value Feeder Fund (A) AGVFFA 31 August 2025 111.70 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
ATON BCI Balanced Fund of Funds (A) ATOBFA 31 August 2025 107.00 26 September 2025
ATON BCI Cautious Fund of Funds (A) ATOCFA 31 August 2025 105.05 26 September 2025
ATON BCI Global Flexible Fund of Funds (A) ATOGFA 31 August 2025 103.67 26 September 2025
ATON BCI Income Fund (A) ATOIFA 31 August 2025 103.56 26 September 2025
ATON BCI Moderate Fund of Funds (A) ATOMFA 31 August 2025 106.17 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Aureus Nobilis BCI Cautious Fund (A) ANBCFA 31 August 2025 136.70 26 September 2025
Aureus Nobilis BCI Managed Fund (A) ANBMFA 31 August 2025 143.84 26 September 2025
Aureus Nobilis BCI Worldwide Flexible Fund of Funds (A) ANWFFA 31 August 2025 209.99 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Aurora BCI Worldwide Flexible Fund (A1) NREWA1 31 August 2025 1122.76 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Balondolozi BCI Absolute Return Fund (B) BBARFB 31 August 2025 111.28 26 September 2025
Balondolozi BCI Global Bond Fund (A5) BBGGA5 31 August 2025 92.76 26 September 2025
Balondolozi BCI Global Equity Fund (A5) BBPA5 31 August 2025 109.40 26 September 2025
Balondolozi BCI Income Fund (B) BBIFDB 31 August 2025 102.51 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Baroque BCI Moderato Fund of Funds (A) MBMF 31 August 2025 288.21 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Bartizan BCI Balanced Fund (A) BAZBFA 31 August 2025 122.86 26 September 2025
Bartizan BCI Diversified Income Fund (A) BTZDVA 31 August 2025 105.58 26 September 2025
Bartizan BCI Worldwide Flexible Fund (A) BACWFA 31 August 2025 160.38 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Bateleur BCI SA Equity Fund (B6) BEPFB6 31 August 2025 147.33 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Bellamont BCI Global Equity Feeder Fund (A) BGEFFA 31 August 2025 102.83 26 September 2025
Bellamont BCI Worldwide Flexible Fund (A) BCIWFA 31 August 2025 100.64 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
BlueAlpha BCI All Seasons Fund (A) MBAS 31 August 2025 757.52 26 September 2025
BlueAlpha BCI Balanced Fund (C) BABFC 31 August 2025 153.81 26 September 2025
BlueAlpha BCI Equity Fund (A) BSEAF 31 August 2025 241.68 26 September 2025
BlueAlpha BCI Global Equity Fund (A) BGFFA 31 August 2025 466.43 26 September 2025
BlueAlpha BCI SA Equity Fund (A) BALPFA 31 August 2025 124.70 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Bovest BCI Conservative Fund of Funds (A) BBCFA 31 August 2025 140.92 26 September 2025
Bovest BCI Managed Fund of Funds (A) BBMFA 31 August 2025 180.60 26 September 2025
Bovest BCI Worldwide Flexible Fund of Funds (A) BBWFA 31 August 2025 214.28 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Brenthurst BCI Balanced Fund of Funds (A) BBFFA 31 August 2025 152.92 26 September 2025
Brenthurst BCI Global Balanced Feeder Fund (A) BBGBFA 31 August 2025 133.86 26 September 2025
Brenthurst BCI Global Equity Feeder Fund (A) BGEQFA 31 August 2025 157.10 26 September 2025
Brenthurst BCI Income Fund of Funds (A) BCIFA 31 August 2025 116.69 26 September 2025
Brenthurst BCI Worldwide Flexible Fund of Funds (A) BCWFA 31 August 2025 205.33 26 September 2025
Brenthurst BCI Worldwide Growth Fund of Funds (A) BBWFFA 31 August 2025 141.99 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Cadiz BCI Absolute Yield Fund (A) AHAY 31 August 2025 110.48 26 September 2025
Cadiz BCI Bond Fund (A) CBRIA 31 August 2025 118.99 26 September 2025
Cadiz BCI Enhanced Income Fund (C) WMEIC 31 August 2025 104.39 26 September 2025
Cadiz BCI Money Market Fund (A) AFMM 31 August 2025 100.00 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Caleo BCI Active Income Fund (A) CBAFA 31 August 2025 110.86 26 September 2025
Caleo BCI Balanced Fund of Funds (A) CBFFA 31 August 2025 N/A N/A
Caleo BCI Moderate Fund of Funds (A) MBWO 31 August 2025 233.42 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Capita BCI Balanced Fund (A) CBBFA 31 August 2025 178.82 26 September 2025
Capita BCI Cautious Fund (A) CBCFA 31 August 2025 145.77 26 September 2025
Capita BCI Equity Fund (A) AHMF 31 August 2025 297.00 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Cartesian BCI Money Market Fund (A) CABFA 31 August 2025 100.00 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Celtis BCI Conservative Fund of Funds (A) MCEC 31 August 2025 224.23 26 September 2025
Celtis BCI Flexible Fund of Funds (A) MCEL 31 August 2025 388.39 26 September 2025
Celtis BCI Managed Fund of Funds (A) CBMFA 31 August 2025 190.75 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Centaur BCI Balanced Fund (A) CMBFA 31 August 2025 247.89 26 September 2025
Centaur BCI Flexible Fund (A) MCFM 31 August 2025 1256.79 26 September 2025
Centaur BCI SA Equity Fund (A) CEBCFA 31 August 2025 133.19 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Citrine BCI Conservative Growth Fund of Funds (A) CCGFFA 31 August 2025 115.42 26 September 2025
Citrine BCI Income Provider Fund (A) CIIFFA 31 August 2025 108.49 26 September 2025
Citrine BCI Moderate Growth Fund of Funds (A) CMGFFA 31 August 2025 119.36 26 September 2025
Citrine BCI Worldwide Flexible Growth Fund of Funds (A) CIWFFA 31 August 2025 117.37 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Colourfield BCI Income Fund 2 (A) CBIF2 31 August 2025 109.83 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Consilium BCI Worldwide Flexible Fund (A) CCWF 31 August 2025 312.22 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
BCI Contrarius Global Balanced Feeder Fund (A) BCICFA 31 August 2025 171.21 26 September 2025
BCI Contrarius Global Equity Feeder Fund (A) BCIEFA 31 August 2025 172.68 26 September 2025
Contrarius BCI Balanced Fund (A) COBBFA 31 August 2025 120.85 26 September 2025
Contrarius BCI Equity Fund (A) COBEFA 31 August 2025 119.79 26 September 2025
Contrarius BCI SA Equity Fund (A) COSEFA 31 August 2025 105.96 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Corion BCI Equity Fund (A) CBEQFA 31 August 2025 227.10 26 September 2025
Corion BCI Flexible Fund (A) CORFFA 31 August 2025 1762.70 26 September 2025
Corion BCI Growth Fund (A) CBGTFA 31 August 2025 178.01 26 September 2025
Corion BCI Income Fund (A) CPIMMB 31 August 2025 120.73 26 September 2025
Corion BCI Stable Fund (A) CBSEFA 31 August 2025 154.55 26 September 2025
Corion BCI Worldwide Flexible Fund (A) CORWFA 31 August 2025 1944.06 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Cratos BCI Worldwide Flexible Fund (C) CBEQFC 31 August 2025 135.22 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
BCI Credo Global Equity Feeder Fund (A) CREDOA 31 August 2025 197.70 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
CS BCI Aggressive Prudential Fund of Funds (B) CSMCB 31 August 2025 305.59 26 September 2025
CS BCI Flexible Fund of Funds (B) MSFB 31 August 2025 353.17 26 September 2025
CS BCI Prudential Fund of Funds (B) MCSB 31 August 2025 279.68 26 September 2025
CS BCI Worldwide Flexible Fund of Funds (B) CWFFFB 31 August 2025 198.19 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Custodian BCI Balanced Fund (A) MCBB 31 August 2025 304.61 26 September 2025
Custodian BCI Income Plus Fund (A) MCIN 31 August 2025 108.66 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Delta 4 BCI Income Fund (A) D4IFA 31 August 2025 110.51 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Destiny BCI Multi Asset Fund of Funds (A) APMF 31 August 2025 8,609.30 26 September 2025
Destiny BCI Prudential Fund of Funds (A) APRF 31 August 2025 5,404.67 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Dinamika BCI Conservative Fund of Funds (A) MDCF 31 August 2025 250.61 26 September 2025
Dinamika BCI Worldwide Flexible Fund (A) DBWFFA 31 August 2025 214.89 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Dotport BCI Cautious Fund of Funds (A) MDCA 31 August 2025 182.56 26 September 2025
Dotport BCI Equity Fund (A) DBEFA 31 August 2025 122.63 26 September 2025
Dotport BCI Prudential Fund of Funds (A) MDSP 31 August 2025 326.83 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Edge BCI Balanced Fund of Funds (A) EBBFA 31 August 2025 152.17 26 September 2025
Edge BCI Cautious Fund of Funds (A) EDCFA 31 August 2025 140.36 26 September 2025
Edge BCI Equity Fund (A) EBEFA 31 August 2025 153.13 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Engelberg BCI Balanced Fund (A) EIPFD 31 August 2025 1365.15 26 September 2025
Engelberg BCI Global Feeder Fund (A) ENWFF 31 August 2025 1,368.05 26 September 2025
Engelberg BCI Income Fund of Funds (A) FGBEFA 31 August 2025 103.61 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
ETM Capital BCI Balanced Fund of Funds (A) ETMBFA 31 August 2025 110.88 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
BCI Fairtree Global Income Plus Feeder Fund (A) BCFFDA 31 August 2025 168.62 26 September 2025
Fairtree BCI Income Plus Fund (A) BIPFA 31 August 2025 128.76 26 September 2025
Fairtree BCI Select Cautious Fund (A) EBCC 31 August 2025 168.08 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
FAL BCI Balanced Fund (A) FBBFA 31 August 2025 177.50 26 September 2025
FAL BCI Stable Fund of Funds (A) IBSFF 31 August 2025 157.34 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Fibonacci BCI Balanced Fund (B) FDGB 31 August 2025 161.84 26 September 2025
Fibonacci BCI Income Fund (A) FIBOBA 31 August 2025 108.45 26 September 2025
Fibonacci BCI Temperate Fund (B1) FFTB1 31 August 2025 147.51 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Financial Fitness BCI Balanced Fund of Funds (A) FINBF 31 August 2025 1,642.22 26 September 2025
Financial Fitness BCI Diversified Income Fund of Funds (A) FINFDF 31 August 2025 1,045.63 26 September 2025
Financial Fitness BCI Flexible Fund of Funds (A) FINFF 31 August 2025 2,015.11 26 September 2025
Financial Fitness BCI Stable Fund of Funds (A) FINIP 31 August 2025 1,445.06 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Flagship BCI Balanced Fund (A) FLDF 31 August 2025 362.76 26 September 2025
Flagship BCI Flexible Value Fund (A2) FIFA2 31 August 2025 8141.07 26 September 2025
Flagship BCI Global Equity Feeder Fund (A) FIGFFA 31 August 2025 1,054.21 26 September 2025
Flagship BCI Global Flexible Equity Fund (A) IPEBF 31 August 2025 147.80 26 September 2025
Flagship BCI Global Icon Feeder Fund (A) FIGFFB 31 August 2025 1,066.97 26 September 2025
Flagship BCI Prosperity Worldwide Flexible Fund of Funds (A) PIWCA 31 August 2025 1,909.21 26 September 2025
Flagship BCI Worldwide Flexible Fund (A) FLWF 31 August 2025 812.68 26 September 2025
Flagship BCI Worldwide Flexible Fund of Funds (A) FLFF 31 August 2025 1,238.08 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Foster BCI Moderate Fund of Funds (A) MBMO 31 August 2025 275.37 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
BCI Fundsmith Equity Feeder Fund (A) BFEFA 31 August 2025 218.69 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
BCI GinsGlobal Global Equity Index Feeder Fund (A) BGGGFA 31 August 2025 172.63 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Granate BCI Active Bond Fund (B) GRABFB 31 August 2025 113.54 26 September 2025
Granate BCI Balanced Fund (B) GSBFB 31 August 2025 2021.94 26 September 2025
Granate BCI Flexible Fund (B) GSFFB 31 August 2025 2087.89 26 September 2025
Granate BCI Money Market Fund (B) RSMMB 31 August 2025 100.00 26 September 2025
Granate BCI Multi Income Fund (B) RSMIB 31 August 2025 115.55 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
BCI Guernsey Global Growth Feeder Fund (A) BGGFFA 31 August 2025 167.91 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
BCI Guinness Global Equity Income Feeder Fund (A) BGGEFA 31 August 2025 99.62 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Harvard House BCI Equity Fund (A) MHGE 31 August 2025 318.09 26 September 2025
Harvard House BCI Flexible Income Fund (A) MHFI 31 August 2025 129.81 26 September 2025
Harvard House BCI Property Fund (A) HHBPA 31 August 2025 93.48 26 September 2025
Harvard House BCI Worldwide Flexible Fund (A) HHBFDA 31 August 2025 149.95 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Hollard BCI Conservative Growth Fund of Funds (B) HPSDF 31 August 2025 163.62 26 September 2025
Hollard BCI Dynamic Income Fund (B) HPDIF 31 August 2025 109.23 26 September 2025
Hollard BCI Equity Fund (B) HPEFB 31 August 2025 200.65 26 September 2025
Hollard BCI Focused Global Equity Feeder Fund (C) HLDFFA 31 August 2025 96.26 26 September 2025
Hollard BCI Managed Growth Fund of Funds (B) HPSAF 31 August 2025 206.31 26 September 2025
Hollard BCI Moderate Growth Fund of Funds (B) HPSBF 31 August 2025 191.38 26 September 2025
Hollard BCI Money Market Fund (B) HPMMF 31 August 2025 100.00 26 September 2025
Hollard BCI Property Fund (B) HPPFC 31 August 2025 126.22 26 September 2025
Hollard BCI Yield Plus Fund (B) HPYPF 31 August 2025 101.85 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
ID Capital BCI Balanced Fund (A) INNFOA 31 August 2025 147.07 26 September 2025
ID Capital BCI Income Fund (A1) DALMA1 31 August 2025 109.30 26 September 2025
ID Capital BCI Worldwide Equity Fund (A) INBFFA 31 August 2025 174.72 26 September 2025
ID Capital BCI Worldwide Flexible Fund (A) IBWFA 31 August 2025 168.83 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Imali BCI Passive Balanced Fund (A) IPBFA 31 August 2025 163.44 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Independent Securities BCI Worldwide Flexible Fund (D) BIPCFD 31 August 2025 144.67 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Instit BCI Enhanced Yield Fund (C) IBEYFC 31 August 2025 102.02 26 September 2025
Instit BCI Flexible Income Fund (A) IBIFA 31 August 2025 101.20 26 September 2025
Instit BCI Global Equity Fund (A) IBGFA 31 August 2025 258.26 26 September 2025
Instit BCI Managed Fund (A) EBMFA 31 August 2025 137.49 26 September 2025
Instit BCI SA Flexible Income Fund (A) INSTFA 31 August 2025 105.49 26 September 2025
Instit BCI Worldwide Equity Fund (A) IBWEFA 31 August 2025 241.69 26 September 2025
Instit BCI Worldwide Flexible Fund (A) IWFFA 31 August 2025 154.15 26 September 2025
Instit BCI Worldwide Moderate Aggressive Flexible Fund (A) IBWMA 31 August 2025 194.64 26 September 2025
Instit BCI Worldwide Opportunities Fund (A) INSOFA 31 August 2025 143.89 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Integral BCI Equity Fund (A) IBEFA 31 August 2025 160.67 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Intellivest BCI Income Fund (B) ITBIFB 31 August 2025 110.13 26 September 2025
Intellivest BCI Moderate Fund (A) INLLFA 31 August 2025 121.98 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Investec BCI Active Income Fund of Funds (A) IWIAA 31 August 2025 105.80 26 September 2025
Investec BCI Balanced Fund of Funds (A) IWIBF 31 August 2025 242.30 26 September 2025
Investec BCI Balanced High Equity Fund (A) IWIBHA 31 August 2025 163.29 26 September 2025
Investec BCI Diversified Growth Fund of Funds (A) INVFA 31 August 2025 170.66 26 September 2025
Investec BCI Dynamic Equity Fund (A) IWIDEA 31 August 2025 197.51 26 September 2025
Investec BCI Enhanced Income Fund (A) INVIFD 31 August 2025 100.48 26 September 2025
Investec BCI Equity Fund (A) IWIEF 31 August 2025 299.03 26 September 2025
Investec BCI Flexible Bond Fund (A) INWIFA 31 August 2025 114.18 26 September 2025
Investec BCI Global Leaders Equity Feeder Fund (A) IWBGFA 31 August 2025 142.87 26 September 2025
Investec BCI Global Sustainable Equity Feeder Fund (A) INFDZA 31 August 2025 120.93 26 September 2025
Investec BCI Institutional Balanced Fund (A) IBIBFA 31 August 2025 104.20 26 September 2025
Investec BCI Progressive Yield Fund (A) INVWYA 31 August 2025 129.89 26 September 2025
Investec BCI Property Fund (A) INVPA 31 August 2025 124.38 26 September 2025
Investec BCI World Axis Cautious Feeder Fund (A) INACFA 31 August 2025 141.40 26 September 2025
Investec BCI World Axis Core Feeder Fund (A) INCOFA 31 August 2025 145.63 26 September 2025
Investec BCI World Axis Flexible Feeder Fund (A) INCFFA 31 August 2025 146.74 26 September 2025
Investec BCI World Axis Global Equity Feeder Fund (A) INGEFA 31 August 2025 160.90 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Investin BCI Balanced Fund (D) IBBFDD 31 August 2025 118.27 26 September 2025
Investin BCI Equity Fund (D) IBEFDD 31 August 2025 126.29 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Korner BCI Flexible Fund (A) KBFFA 31 August 2025 143.80 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Laurium BCI Strategic Income Fund (B) TBIFB 31 August 2025 108.80 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
BCI Lindsell Train Global Equity Feeder Fund (A) BLTGFA 31 August 2025 129.61 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Lunar BCI Worldwide Flexible Fund (A) LBWFA 31 August 2025 236.31 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
BCI Martello Global Equity Feeder Fund (A) BCIMFA 31 August 2025 151.51 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Mazi BCI Balanced Fund (A) MABFDA 31 August 2025 105.16 26 September 2025
Mazi BCI Global Equity Feeder Fund (A) MAMCA 31 August 2025 180.13 26 September 2025
Mazi BCI Stable Fund (A) MASFDA 31 August 2025 105.76 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Median BCI Balanced Fund of Funds (A) MBBFA 31 August 2025 166.16 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Methodical BCI Absolute Fund (A) MSAFB1 31 August 2025 1499.05 26 September 2025
Methodical BCI Balanced Fund (A) MSBFF 31 August 2025 1738.53 26 September 2025
Methodical BCI Dynamic Income Fund (B1) MBBFB1 31 August 2025 104.37 26 September 2025
Methodical BCI Equity Fund (B1) ACPB2 31 August 2025 229.40 26 September 2025
Methodical BCI Equity Preserver Fund (B1) MTDFB1 31 August 2025 148.74 26 September 2025
Methodical BCI Global Dynamic Fund (B1) MBGFB1 31 August 2025 180.94 26 September 2025
Methodical BCI Global Flexible Fund of Funds (A) MSGFB1 31 August 2025 2,111.44 26 September 2025
Methodical BCI Income Fund (B1) MSIFB1 31 August 2025 1120.41 26 September 2025
Methodical BCI Worldwide Growth Fund of Funds (A) MSGFF 31 August 2025 2,359.05 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Mi-Plan BCI Balanced Defensive Fund (B5) PIPB5 31 August 2025 2416.54 26 September 2025
Mi-Plan BCI Balanced Fund (B5) PEIB5 31 August 2025 2967.45 26 September 2025
Mi-Plan BCI Balanced Plus Fund (B4) PEPB5 31 August 2025 4230.28 26 September 2025
Mi-Plan BCI Beta Equity Fund (B2) PBEB2 31 August 2025 3856.70 26 September 2025
Mi-Plan BCI Global AI Opportunity Fund (B6) MPWB6 31 August 2025 3936.39 26 September 2025
Mi-Plan BCI Global Macro Fund (B5) MGMF 31 August 2025 5969.41 26 September 2025
Mi-Plan BCI Sarasin Global Equity Feeder Fund (B5) PSFB5 31 August 2025 5,007.34 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
MitonOptimal BCI Active Beta Fund (A) MIABF 31 August 2025 1876.60 26 September 2025
MitonOptimal BCI Cautious Fund (B2) MOIPCD 31 August 2025 1123.60 26 September 2025
MitonOptimal BCI Diversified Income Fund of Funds (B2) SEDB2 31 August 2025 181.05 26 September 2025
MitonOptimal BCI Equity Growth Fund (A) MHCE 31 August 2025 161.81 26 September 2025
MitonOptimal BCI Flexible Growth Fund (B2) SEFB2 31 August 2025 443.61 26 September 2025
MitonOptimal BCI Foreign Flexible Feeder Fund (A1) MFFF 31 August 2025 502.76 26 September 2025
MitonOptimal BCI Income Plus Fund of Funds (B2) MOPFOF 31 August 2025 1,060.12 26 September 2025
MitonOptimal BCI Interest Plus Fund (A) TRCP 31 August 2025 100.02 26 September 2025
MitonOptimal BCI Macro Equity Fund of Funds (A) SMEFA 31 August 2025 351.99 26 September 2025
MitonOptimal BCI Moderate Growth Fund (B2) MOMDGD 31 August 2025 1156.06 26 September 2025
MitonOptimal BCI Prudential Fund of Funds (B2) SEPB2 31 August 2025 311.86 26 September 2025
MitonOptimal BCI Worldwide Active Beta Fund (A) IPWWAB 31 August 2025 N/A N/A
MitonOptimal BCI Worldwide Growth Fund (B2) MOWWGF 31 August 2025 1227.86 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
MM BCI Cautious Fund of Funds (A) MSCFF 31 August 2025 1,174.37 26 September 2025
MM BCI Moderate Fund of Funds (A) MSMFF 31 August 2025 1,284.57 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Montrose BCI Cautious Fund of Funds (A) MFA3 31 August 2025 273.73 26 September 2025
Montrose BCI Flexible Fund of Funds (A) MFAF 31 August 2025 348.62 26 September 2025
Montrose BCI Moderate Fund of Funds (A) MFA5 31 August 2025 359.00 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Multi Asset BCI Balanced Defensive Fund (A) MAICA 31 August 2025 1,564.77 26 September 2025
Multi Asset BCI Balanced Fund (A) MAIBA 31 August 2025 1,646.51 26 September 2025
Multi Asset BCI Balanced Plus Fund (A) MAIPA 31 August 2025 1,777.95 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Nest Egg BCI Worldwide Equity Fund (A) NWEFA 31 August 2025 221.58 26 September 2025
Nest Egg BCI Worldwide Flexible Fund (A) NEBFA 31 August 2025 254.21 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
New Road BCI Enhanced Opportunities Fund (A) NRBEFA 31 August 2025 135.84 26 September 2025
New Road BCI Global Flexible Fund of Funds (A) NRGFFA 31 August 2025 159.29 26 September 2025
New Road BCI Income Fund of Funds (A) NEWMIA 31 August 2025 112.97 26 September 2025
New Road BCI Managed Fund of Funds (A) NEWMAA 31 August 2025 166.06 26 September 2025
New Road BCI Moderate Fund of Funds (A) NEWMOA 31 August 2025 156.04 26 September 2025
New Road BCI Stable Fund of Funds (A) NEWSFA 31 August 2025 140.08 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Noble PP BCI Balanced Defensive Fund of Funds (A) NPPBA 31 August 2025 269.93 26 September 2025
Noble PP BCI Flexible Fund (A) NPPFA 31 August 2025 133.63 26 September 2025
Noble PP BCI Property Fund (A) NBLPFA 31 August 2025 131.21 26 September 2025
Noble PP BCI Strategic Income Fund of Funds (A) NPPIA 31 August 2025 211.22 26 September 2025
Noble PP BCI Wealth Creator Fund of Funds (A) NPPCA 31 August 2025 334.03 26 September 2025
Noble PP BCI Worldwide Flexible Fund of Funds (A) NPPWFA 31 August 2025 142.62 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Northstar BCI Equity Fund (A1) NCEFA 31 August 2025 1398.19 26 September 2025
Northstar BCI Global Flexible Feeder Fund (A) NSCGF 31 August 2025 2,353.94 26 September 2025
Northstar BCI Global Flexible Fund (A) BFGFA 31 August 2025 236.16 26 September 2025
Northstar BCI Income Fund (A) NMIF 31 August 2025 128.56 26 September 2025
Northstar BCI Managed Fund (A1) METP 31 August 2025 358.32 26 September 2025
Northstar BCI Multi-Asset Growth Fund of Funds (A) NOMAFA 31 August 2025 102.50 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Numoro BCI Income Fund (A) NUMOFA 31 August 2025 102.68 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Odyssey BCI Worldwide Flexible Fund (A) ODBWFA 31 August 2025 149.47 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
BCI Guernsey Global Growth Feeder Fund (A) BGGFFA 31 August 2025 167.91 26 September 2025
BCI Multikor Moderate Fund of Funds (A) BMMFA 31 August 2025 151.98 26 September 2025
Optimum BCI Balanced Fund (C) OBBFC 31 August 2025 183.97 26 September 2025
Optimum BCI Equity Fund (A) OBEFA 31 August 2025 203.54 26 September 2025
Optimum BCI Income Fund (A) OBIFA 31 August 2025 108.53 26 September 2025
Optimum BCI Managed Growth Fund (C) OBMFC 31 August 2025 194.36 26 September 2025
Optimum BCI Stable Fund (C) OPBSFC 31 August 2025 170.11 26 September 2025
Optimum BCI WorldWide Flexible Fund of Funds (A) OBWFFA 31 August 2025 158.21 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Opulence BCI Balanced Fund of Funds (A) OBCBFA 31 August 2025 127.27 26 September 2025
Opulence BCI Cautious Fund of Funds (A) OBCFOA 31 August 2025 109.19 26 September 2025
Opulence BCI Income Fund of Funds (A) OBIFFA 31 August 2025 110.73 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Orchard BCI Diversified Fund (A) ORCDFA 31 August 2025 129.38 26 September 2025
Orchard BCI Enhanced Income Fund (A) OREIFA 31 August 2025 111.03 26 September 2025
Orchard BCI Worldwide Opportunity Fund (A) ORWOFA 31 August 2025 135.68 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Ordian Capital BCI Balanced Fund of Funds (A) OCBBFA 31 August 2025 124.99 26 September 2025
Ordian Capital BCI Worldwide Flexible Fund (A) OCBWFA 31 August 2025 122.85 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Palmyra BCI Balanced Fund (A) AHBF 31 August 2025 290.66 26 September 2025
Palmyra BCI Global Flexible Fund of Funds (A) CGFFA 31 August 2025 128.29 26 September 2025
Palmyra BCI Property Fund (A) WMPCA 31 August 2025 74.47 26 September 2025
Palmyra BCI SA Equity Fund (A) OYCEFA 31 August 2025 21899.00 26 September 2025
Palmyra BCI Stable Fund (A) CASF 31 August 2025 143.08 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Platinum BCI Balanced Fund of Funds (A) MPBP 31 August 2025 427.39 26 September 2025
Platinum BCI Balanced Plus Fund of Funds (A) PBFFA 31 August 2025 105.15 26 September 2025
Platinum BCI Defensive Income Fund of Funds (A) PLATDA 31 August 2025 109.39 26 September 2025
Platinum BCI Income Provider Fund of Funds (A) MPIP 31 August 2025 231.23 26 September 2025
Platinum BCI Worldwide Flexible Fund (A) MPFG 31 August 2025 799.96 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Plexus Wealth BCI Balanced Fund (A) MXBA 31 August 2025 235.78 26 September 2025
Plexus Wealth BCI Conservative Fund (A) MXCO 31 August 2025 189.71 26 September 2025
Plexus Wealth BCI Property Fund (A) MXPR 31 August 2025 175.82 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
PBi BCI Balanced Fund of Funds (A) PBBFFA 31 August 2025 179.26 26 September 2025
PBi BCI Conservative Fund of Funds (A) PBCFFA 31 August 2025 139.98 26 September 2025
PBi BCI Worldwide Flexible Fund (A) PBWFF 31 August 2025 170.38 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
PortfolioMetrix BCI Balanced Fund of Funds (A) PMBFFA 31 August 2025 166.55 26 September 2025
PortfolioMetrix BCI Cautious Fund of Funds (A) PMBCFA 31 August 2025 138.02 26 September 2025
PortfolioMetrix BCI Dynamic Income Fund (A) PMBDIA 31 August 2025 113.59 26 September 2025
PortfolioMetrix BCI Global Bond Fund of Funds (A) PRTFA 31 August 2025 91.35 26 September 2025
PortfolioMetrix BCI Global Diversified Feeder Fund (B1) PMGDB1 31 August 2025 135.39 26 September 2025
PortfolioMetrix BCI Global Equity Feeder Fund (B2) PMEEA 31 August 2025 361.73 26 September 2025
PortfolioMetrix BCI Global Property Fund of Funds (A) PMBGPF 31 August 2025 143.47 26 September 2025
PortfolioMetrix BCI Income Fund (A) PMIFA 31 August 2025 114.04 26 September 2025
PortfolioMetrix BCI Moderate Fund of Funds (A) PMBMFA 31 August 2025 154.53 26 September 2025
PortfolioMetrix BCI SA Bond Fund (A) PMBFA 31 August 2025 118.01 26 September 2025
PortfolioMetrix BCI SA Equity Fund (B2) PMEFA 31 August 2025 215.03 26 September 2025
PortfolioMetrix BCI SA Property Fund (A) PMPFA 31 August 2025 98.28 26 September 2025
PortfolioMetrix BCI Sustainable World Equity Fund of Funds (A) PRTFFA 31 August 2025 107.63 26 September 2025
PortfolioMetrix BCI Unconstrained Assertive Fund of Funds (A) PBUAFA 31 August 2025 174.88 26 September 2025
PortfolioMetrix BCI Unconstrained Balanced Fund of Funds (A) PMCUFA 31 August 2025 165.28 26 September 2025
PortfolioMetrix BCI Unconstrained Moderate Fund of Funds (A) PBUMFA 31 August 2025 151.90 26 September 2025
PortfolioMetrix BCI Worldwide Opportunities Fund (A) PBCFDA 31 August 2025 130.52 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Private Capital BCI Managed Fund (A) PCBMA 31 August 2025 122.23 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
PrivateClient BCI High Equity Fund (B) PCEFB 31 August 2025 171.08 26 September 2025
PrivateClient BCI Low Equity Fund (B) PCLEB 31 August 2025 142.70 26 September 2025
PrivateClient BCI Medium Equity Fund (B) PCMFB 31 August 2025 161.61 26 September 2025
PrivateClient BCI Worldwide Flexible Fund (B) PCWFB 31 August 2025 192.76 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Providence BCI Worldwide Diversified Fund (B) BWDFB 31 August 2025 253.62 26 September 2025
Providence BCI Worldwide Flexible Income Fund (B) PBCIFB 31 August 2025 108.91 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
PWS BCI Cautious Fund of Funds (A) PWBFA 31 August 2025 135.74 26 September 2025
PWS BCI Flexible Income Fund (A) PWSFFA 31 August 2025 111.51 26 September 2025
PWS BCI Moderate Fund of Funds (A) PWBMFA 31 August 2025 162.81 26 September 2025
PWS BCI Worldwide Flexible Fund of Funds (A) PBWFA 31 August 2025 197.76 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Pyxis BCI Balanced Fund (A) PBCBFA 31 August 2025 106.11 26 September 2025
Pyxis BCI Worldwide Flexible Fund (C) PBWFFC 31 August 2025 130.93 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Quantum BCI Balanced Fund of Funds (A) MQUB 31 August 2025 432.43 26 September 2025
Quantum BCI Capital Plus Fund of Funds (A) MQCP 31 August 2025 288.75 26 September 2025
Quantum BCI Factor Equity Fund (B) QUANB 31 August 2025 146.52 26 September 2025
Quantum BCI Income Fund (C) QUAFDC 31 August 2025 109.07 26 September 2025
Quantum BCI Managed Fund (C) INCMFC 31 August 2025 150.83 26 September 2025
Quantum BCI Worldwide Flexible Fund of Funds (A) MQWF 31 August 2025 325.09 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
BCI Ranmore Global Value Equity Feeder Fund (B) RANFFB 31 August 2025 282.13 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Raven BCI Worldwide Flexible Fund (A) NWFFA 31 August 2025 519.05 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Red Oak BCI Balanced Fund (A) IBBFA 31 August 2025 147.84 26 September 2025
Red Oak BCI Worldwide Flexible Fund of Funds (A) ROWFA 31 August 2025 186.39 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Reitway BCI Global Property Feeder Fund (A) MGPI 31 August 2025 337.01 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Remo BCI Thematic Growth Feeder Fund (A) RBTGFA 31 August 2025 103.46 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Riscura BCI China Equity Feeder Fund (A) RIEFFA 31 August 2025 118.87 26 September 2025
Riscura BCI Emerging Markets Equity Feeder Fund (B) RBEMFB 31 August 2025 128.54 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
RCI BCI Worldwide Flexible Fund (A) RBWFF 31 August 2025 228.07 26 September 2025
RCI BCI Worldwide Flexible Growth Fund (L) RBFGL 31 August 2025 287.84 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Rock Capital BCI Worldwide Flexible Fund (A) RCICA 31 August 2025 119.50 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Rowan Capital BCI Balanced Fund of Funds (A) RCBFA 31 August 2025 182.67 26 September 2025
Rowan Capital BCI Income Fund of Funds (A) RCBIFA 31 August 2025 108.71 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
RSA BCI Balanced Fund (A) RBBFA 31 August 2025 159.76 26 September 2025
RSA BCI Cautious Fund (C) EVCFC 31 August 2025 142.03 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
S-BRO BCI Defensive Fund of Funds (A) SBRD 31 August 2025 211.19 26 September 2025
S-BRO BCI Income Fund (A) SBBIFA 31 August 2025 108.38 26 September 2025
S-BRO BCI Managed Fund of Funds (A) SBMFA 31 August 2025 171.39 26 September 2025
S-BRO BCI Moderate Fund of Funds (A) SBRB 31 August 2025 364.21 26 September 2025
S-BRO BCI Worldwide Equity Fund (A) SBWEFA 31 August 2025 111.11 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
SA Asset Management BCI Balanced Fund of Funds (A) SAMFA 31 August 2025 161.92 26 September 2025
SA Asset Management BCI Cautious Fund (A) SACFA 31 August 2025 125.11 26 September 2025
SA Asset Management BCI Income Fund (A) SAMIFA 31 August 2025 104.25 26 September 2025
SA Asset Management BCI Moderate Fund (A) SABFA 31 August 2025 142.12 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Saffron BCI Active Bond Fund (A) MSIL 31 August 2025 166.69 26 September 2025
Saffron BCI Flexible Fund (A) MSMT 31 August 2025 160.82 26 September 2025
Saffron BCI Global Enhanced Income Feeder Fund (A) SAFFA 31 August 2025 113.80 26 September 2025
Saffron BCI Opportunity Income Fund (A) MIPP 31 August 2025 138.51 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Sage BCI Long Term Solution Fund of Funds (B3) SSLB2 31 August 2025 3,248.68 26 September 2025
Sage BCI Moderate Solution Fund of Funds (B5) SSMB3 31 August 2025 2,635.12 26 September 2025
Sage BCI Protection Solution Fund of Funds (B2) SSPSB2 31 August 2025 2,006.64 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Salvo BCI Dynamic Flexible Fund (A1) SNDFA1 31 August 2025 1826.70 26 September 2025
Salvo BCI Global Managed Feeder Fund (A1) SGMFA1 31 August 2025 153.01 26 September 2025
Salvo BCI Income Fund (A1) SNIFA1 31 August 2025 1166.76 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
BCI Sands Capital Emerging Markets Feeder Fund (A) BICFFA 31 August 2025 97.62 26 September 2025
BCI Sands Capital Global Growth Feeder Fund (A) BCGFFA 31 August 2025 123.19 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Sasfin BCI Balanced Fund (A) SMBFCA 31 August 2025 159.31 26 September 2025
Sasfin BCI Equity Fund (A) MSTT 31 August 2025 457.08 26 September 2025
Sasfin BCI Flexible Income Fund (A) SMFIA 31 August 2025 109.26 26 September 2025
Sasfin BCI Global Equity Feeder Fund (A) SGEFA 31 August 2025 204.00 26 September 2025
Sasfin BCI High Grade Money Market Fund (A) SBHGFA 31 August 2025 100.00 26 September 2025
Sasfin BCI High Yield Fund (A) SBHYA 31 August 2025 103.14 26 September 2025
Sasfin BCI Horizon Multi Managed Accumulation Fund (A) SBHMFA 31 August 2025 151.02 26 September 2025
Sasfin BCI Horizon Multi Managed Diversified Growth Fund (A) SBHDGA 31 August 2025 157.42 26 September 2025
Sasfin BCI Horizon Multi Managed Preservation Fund (A) SBMPFA 31 August 2025 140.21 26 September 2025
Sasfin BCI Optimal Income Fund (A) IBOFA 31 August 2025 106.80 26 September 2025
Sasfin BCI Prudential Fund (A) SAMA1 31 August 2025 233.70 26 September 2025
Sasfin BCI Stable Fund (A) SMSFCA 31 August 2025 162.04 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Select BCI Balanced Fund (A) EFFP 31 August 2025 374.02 26 September 2025
Select BCI ESG Equity Fund (C) SBEEFC 31 August 2025 780.50 26 September 2025
Select BCI Enhanced Core Balanced Fund (A) SBECFA 31 August 2025 154.90 26 September 2025
Select BCI Enhanced Core Cautious Fund (A) SBEHFA 31 August 2025 131.66 26 September 2025
Select BCI Enhanced Core Equity Fund (A) SBCEFA 31 August 2025 149.65 26 September 2025
Select BCI Enhanced Core Global Equity Fund of Funds (A) SDCGFA 31 August 2025 170.06 26 September 2025
Select BCI Equity Fund (A) SELEFA 31 August 2025 170.95 26 September 2025
Select BCI Fixed Income Fund (A) EFIF 31 August 2025 108.02 26 September 2025
Select BCI Global Equity Fund (A) SLTEFA 31 August 2025 128.53 26 September 2025
Select BCI Interest Plus Fund (A) SBIPFA 31 August 2025 100.74 26 September 2025
Select BCI Worldwide Flexible Fund (A) VAAF 31 August 2025 891.10 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Select Manager BCI Balanced Fund of Funds (A) MSGP 31 August 2025 609.13 26 September 2025
Select Manager BCI Cautious Fund of Funds (A) MSMI 31 August 2025 215.30 26 September 2025
Select Manager BCI Equity Fund (C) NSEFC 31 August 2025 330.99 26 September 2025
Select Manager BCI Global Equity Fund of Funds (A) NGBEA 31 August 2025 248.32 26 September 2025
Select Manager BCI Global Moderate Fund of Funds (A) MSGG 31 August 2025 560.24 26 September 2025
Select Manager BCI Income Fund of Funds (C) NIPFC 31 August 2025 138.87 26 September 2025
Select Manager BCI Moderate Fund of Funds (A) MSMP 31 August 2025 477.69 26 September 2025
Select Manager BCI Worldwide Flexible Fund of Funds (A) NBWFA 31 August 2025 186.99 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Sequoia BCI Flexible Income Fund (A) SEQFSA 31 August 2025 110.20 26 September 2025
Sequoia BCI Global Flexible Fund of Funds (A) SBGFFA 31 August 2025 121.79 26 September 2025
Sequoia BCI Managed Growth Fund of Funds (A) BCIGFA 31 August 2025 160.40 26 September 2025
Sequoia BCI SA Equity (A) SBSEFA 31 August 2025 145.25 26 September 2025
Sequoia BCI Stable Fund of Funds (A) BCISFA 31 August 2025 137.75 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Sesfikile BCI Global Property Fund (A2) SPFA2 31 August 2025 123.36 26 September 2025
Sesfikile BCI Property Fund (B1) SSPF2 31 August 2025 1804.59 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Signature BCI Balanced Fund of Funds (A) SBBFA 31 August 2025 173.68 26 September 2025
Signature BCI Stable Fund of Funds (A) SBSFA 31 August 2025 144.88 26 September 2025
Signature BCI Worldwide Flexible Fund of Funds (A) SBWFA 31 August 2025 239.40 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Simplisiti BCI Flexible Fund of Funds (A) MSIM 31 August 2025 387.49 26 September 2025
Simplisiti BCI Income Plus Fund (A) MSIP 31 August 2025 131.73 26 September 2025
Simplisiti BCI Managed Protector Fund of Funds (A) MPSF 31 August 2025 272.22 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Skyblue BCI Cirrus Income Fund (A) SBCIFA 31 August 2025 100.77 26 September 2025
Skyblue BCI Flexible Fund (A) SKBFFA 31 August 2025 121.04 26 September 2025
Skyblue BCI Moderate Worldwide Flexible Fund (B) SKYFFB 31 August 2025 126.79 26 September 2025
Skyblue BCI Unconstrained Worldwide Flexible Fund (A) SKYUFA 31 August 2025 147.49 26 September 2025
Skyblue BCI Worldwide Flexible Growth Fund (A) NBCFGF 31 August 2025 174.00 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Southchester BCI Optimum Income Fund (C) SCOIB 31 August 2025 N/A N/A
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Southern Charter BCI Balanced Fund of Funds (A) MSCB 31 August 2025 309.21 26 September 2025
Southern Charter BCI Defensive Fund of Funds (A) MSCS 31 August 2025 239.53 26 September 2025
Southern Charter BCI Growth Fund of Funds (A) MSCR 31 August 2025 355.66 26 September 2025
Southern Charter BCI Worldwide Flexible Fund of Funds (A) SCMCA 31 August 2025 237.74 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
SouthernCross BCI Equity Fund (A) SOUCFA 31 August 2025 137.87 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Southern Right Capital BCI GQG Emerging Markets Equity Feeder Fund (A) SEMEFA 31 August 2025 139.75 26 September 2025
Southern Right Capital BCI GQG Global Equity Feeder Fund (A) SRCEFA 31 August 2025 146.80 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Starfunds.ai BCI Balanced Fund of Funds (C) WAMCC 31 August 2025 227.73 26 September 2025
Starfunds.ai BCI Equity Fund of Funds (A) ACCFFA 31 August 2025 144.63 26 September 2025
Starfunds.ai BCI Property Fund of Funds (A) ACCPFA 31 August 2025 121.71 26 September 2025
Starfunds.ai BCI Stable Fund of Funds (A) SBSFFA 31 August 2025 120.31 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Star BCI Balanced Fund (A) SPACLC 31 August 2025 126.21 26 September 2025
Star BCI Global Growth Feeder Fund (A) STARCB 31 August 2025 104.54 26 September 2025
Star BCI Stable Fund (A) SPSCLC 31 August 2025 114.39 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Stonewood BCI Worldwide Flexible Fund (A) BIWFA 31 August 2025 228.39 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
STRATEGIQ BCI Balanced Fund of Funds (A) SCBCIF 31 August 2025 115.92 26 September 2025
STRATEGIQ BCI Income Fund of Funds (B) STRFFB 31 August 2025 103.97 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
BCI T. Rowe Price Global Value Equity Feeder Fund (A) BCRVFA 31 August 2025 148.93 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Tempo BCI Worldwide Flexible Fund (A) TEMFFA 31 August 2025 103.69 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Capital Incubator BCI Worldwide Flexible Fund of Funds (A) MBVI 31 August 2025 678.58 26 September 2025
Capital Incubator BCI Worldwide Opportunities Fund of Funds (A) MBOW 31 August 2025 443.50 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
BCI MI Thornbridge Global Opportunities Feeder Fund (A) PTGOCB 31 August 2025 147.56 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Thyme BCI Multi Asset Income Fund (B) TWMIB 31 August 2025 1104.87 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
BCI UBAM MultiFunds Flexible Allocation Feeder Fund (A) AGBFA 31 August 2025 205.44 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Umthombo BCI SA Active Bond Fund (A) UMTFA1 31 August 2025 112.72 26 September 2025
Umthombo BCI Unconstrained SA Equity Fund (A) UWIPA1 31 August 2025 111.38 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Visio BCI Actinio Fund (A) MBVA 31 August 2025 1402.58 26 September 2025
Visio BCI Balanced Fund (A) VBBFA 31 August 2025 232.32 26 September 2025
Visio BCI Bond Fund (A) VISFDA 31 August 2025 114.47 26 September 2025
Visio BCI General Equity Fund (A) BGEAF 31 August 2025 173.79 26 September 2025
Visio BCI Global Equity Fund (A) VBGEFA 31 August 2025 155.04 26 September 2025
Visio BCI Global Property Fund (C) OPTFDC 31 August 2025 66.91 26 September 2025
Visio BCI SA Balanced Fund (B) VIBCFB 31 August 2025 204.10 26 September 2025
Visio BCI SA Equity Fund (B2) VBFB2 31 August 2025 154.41 26 September 2025
Visio BCI SA Opportunities Fund (A) VBSOFA 31 August 2025 125.96 26 September 2025
Visio BCI SA Property Fund (A) VISPFA 31 August 2025 145.52 26 September 2025
Visio BCI Shari'ah Equity Fund (C) BSEFC 31 August 2025 169.41 26 September 2025
Visio BCI Unconstrained Fixed Interest Fund (B) RSVIB 31 August 2025 120.58 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Vunani BCI Bond Fund (A) VUNFDA 31 August 2025 115.59 26 September 2025
Vunani BCI Bond Fund (B) VUNFDB 31 August 2025 115.80 26 September 2025
Vunani BCI Bond Retention Fund (A) SFFRBT 31 August 2025 23.77 26 September 2025
Vunani BCI Enhanced Income Fund (A1) MIPEI 31 August 2025 1020.18 26 September 2025
Vunani BCI Enhanced Income Retention fund (A1) MIPLBF 31 August 2025 204.67 26 September 2025
Vunani BCI Equity Fund (A) VUNEQA 31 August 2025 187.33 26 September 2025
Vunani BCI Equity Fund (B) VUNEQB 31 August 2025 187.92 26 September 2025
Vunani BCI Global Macro Fund (A) VUMACA 31 August 2025 154.56 26 September 2025
Vunani BCI Global Macro Fund (B) VUMACB 31 August 2025 155.01 26 September 2025
Vunani BCI Multi Asset Fund (A) VBMAFA 31 August 2025 125.38 26 September 2025
Vunani BCI Short Term Fixed Interest Fund (A) VUINTA 31 August 2025 98.44 26 September 2025
Vunani BCI Short Term Fixed Interest Retention Fund (A) SFFTBT 31 August 2025 21.06 26 September 2025
Vunani BCI Short Term Interest Fund (B) VUINTB 31 August 2025 98.56 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Wealth Associates BCI Balanced Fund of Funds (A) WABFA 31 August 2025 180.42 26 September 2025
Wealth Associates BCI Cautious Fund of Funds (A) WAFA 31 August 2025 140.17 26 September 2025
Wealth Associates BCI Equity Fund (A) WLTFA 31 August 2025 201.65 26 September 2025
Wealth Associates BCI Global Flexible Fund of Funds (A) WAGFA 31 August 2025 153.92 26 September 2025
Wealth Associates BCI Income Fund (A) WLBFA 31 August 2025 110.34 26 September 2025
Wealth Associates BCI Moderate Fund of Funds (A) WAMFA 31 August 2025 161.40 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Wealth Creators BCI Balanced Fund of Funds (A) WCBBFA 31 August 2025 113.32 26 September 2025
Wealth Creators BCI Cautious Fund of Funds (A) WCBCFA 31 August 2025 110.60 26 September 2025
Wealth Creators BCI Growth Fund of Funds (A) WCBGFA 31 August 2025 109.36 26 September 2025
Wealth Creators BCI Income Fund (A) WCBIFA 31 August 2025 108.62 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Wealthpoint BCI Balanced Fund (A) WEABFA 31 August 2025 128.67 26 September 2025
Wealthpoint BCI Worldwide Flexible Fund (A) WBWFFA 31 August 2025 138.65 26 September 2025
Fund Name Minimum Disclosure Document Date NAV Price (CPU) NAV Price Date Minimum Disclosure Document
Weaver BCI Balanced Fund of Funds (A) WEABAL 31 August 2025 165.99 26 September 2025
Weaver BCI Moderate Fund of Funds (A) WEAMOD 31 August 2025 153.85 26 September 2025
Weaver BCI Stable Fund of Funds (A) WEASTA 31 August 2025 135.27 26 September 2025