Mutual Fund Performance


NAV as at 30-Apr-2025
Mutual Fund NameNAVMTD%YTD%12M%
Secured Balanced 11.86760.78%1.74%6.58%
Targeted Equity 16.52801.18%1.49%8.49%
Prime Income8.70260.49%1.76%4.05%
Equities Sub16.75982.68%2.93%12.99%
High Yield13.49400.34%0.54%3.51%
Atl Strat12.2694-2.07%0.28%1.89%
RF-small
  • AML Foods Limited AML   10.06
  • Arawak Port Development Ltd APD   50.5
  • Bahamas Property Fund BPF   12
  • Bahamas First Holding Limited BFH   2.29
  • Bahamas Waste BWL   10.34
  • Bank of Bahamas BOB   8.46
  • Benchmark BBL   2.18
  • Cable Bahamas CAB   3.77
  • Commonwealth Brewery CBB   10.1
  • Colina Holdings Ltd. CHL   17.99
  • Commonwealth Bank Ltd. CBL   4.33
  • Consolidated Water BDR CWCB   5.77
  • Doctors Hospital DHS   4.87
  • Famguard FAM   7.74
  • Fidelity Bank FBB   13.44
  • Finco FIN   18
  • FirstCaribbean CIB   16.49
  • Focol FCL   7.2
  • Emera EMAB   13.01
  • J S Johnson JSJ   20.07
  • Focol Class B Perpetual Preference FCLB   1
  • Colina Holdings Class Preference CHLA   1
  • Fidelity Bank Series A Redeemable Preference FBBA   10
  • Secure Balanced Fund MF   11.86755
  • Targeted Equity Fund MF   16.52804
  • Prime Income Fund MF   8.70263
  • RF International Equities Sub Fund MF   16.75977
  • RF International High Yield Fund MF   13.49398
  • RF International Alternative Strategies Fund MF   12.26937