Unit Trusts and Collective Investment Schemes   FundsData by Profile
 Kruger International  Return to index
 
Fund Price
date
Max
initial
fee %
TER
as % of
NAV
NAV
(Cents per
unit)
Effective
Yield %
Distibution
last 12
months (c)
NAV
12-month
high
NAV
12-month
low
Kruger STANLIB Balanced Fund of Funds Class A Aug 12, 15 n/a 1.62 1931.56 1.67 32.28 1980.65 1751.81
Kruger STANLIB Flexible Fund of Funds Class A Aug 12, 15 n/a 1.75 2217.50 1.59 35.29 2369.51 2055.50
Kruger STANLIB Global Fund of Funds Class A Aug 12, 15 n/a 1.95 1745.22 n/a n/a 1773.33 1419.24
Kruger STANLIB Prudential Fund of Funds Class A Aug 12, 15 n/a 1.61 1824.34 2.75 50.15 1829.02 1677.98
 
Return to index