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Marriott International Growth Fund
Marriott International Growth Fund
Marriott International Funds Plc.
Marriott International Growth Fund
News
Regional Portfolio Structure(Semi-Annual Comparison)
Sectorial Portfolio Structure(Semi-Annual Comparison)
Price
 
Ranking
Sector: Global-Asset Allocation-Flexible
Size: (USD) 103 898 645
 
Sector Rank: 82 out of 93
(lump sum over 3 years to 30 Nov 2024)
 
Overall Rank: 363 out of 485
(lump sum over 3 years to 30 Nov 2024)
 
R20000 invested on 30 Nov 2021 was worth R21 868 at 30 Nov 2024
(3.02% annual compound return)
 
R5000 per month since 30 Nov 2021 was worth R192 852 at 30 Nov 2024
(4.43% annual return compounded monthly)
 
Please note that offshore fund performance figures are calculated from NAV prices (ie, equivalent to sell-to-sell) and therefore not directly comparable to domestic fund performance figures on this site.
 
Management
Marriott International
This fund is managed in conjunction with Marriott International based on the Isle of Man. All asset management decisions are made together with the Marriott Investment Committee using an income-focused approach to investing.
 
Focus and Objective
To generate long-term capital growth and a distributable income stream through holding a combination of dividend paying equities, bonds, listed real estate securities and money market instruments.
 
Technical Overview
Benchmark: S&P 500 Index and the JP Morgan Global Government Bond Index
Base currency: USD Management fee (p.a.): 1.51%
Domicile Dublin Minimum lump sum: $30 000
Formation date: 17 Jan 2003 Pricing system: Forward
 
Top holdings on 30 Jun 2011
Share (Sector) Value (USD) % of fund
TELEFONICA (Telecom) 7 918 819 9.47%
KPN (Telecom) 7 099 342 8.49%
NATIONALGRID (Utility Suppliers) 5 552 371 6.64%
ENELSPA (Energy) 5 343 321 6.39%
ENI (Energy) 5 251 339 6.28%
BAESYSTEMS (Goods & Services) 4 883 411 5.84%
REYNOLDSUSA (Cyclical Goods & Services) 4 808 153 5.75%
AT&T (Telecom) 4 590 741 5.49%
DUKE ENERGY (Energy) 4 448 587 5.32%
GLAXOSMITHKUK (Healthcare) 4 314 795 5.16%
TOTALS 54 210 879 64.83%

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