Total Balanced Fund Deposits

ZMW 57,135.00
Value Date Fund Client ID
ZMW 585.00

30 January 2026

Balanced Fund

490028

ZMW 1,050.00

20 January 2026

Balanced Fund

EUT26-185537651

ZMW 500.00

14 January 2026

Balanced Fund

EUT25-251024161

ZMW 50,000.00

31 December 2025

Balanced Fund

EUT25-945895111

ZMW 5,000.00

17 December 2025

Balanced Fund

EUT25-251024161