Total Equity Fund Deposits

ZMW 121,511.00
Value Date Fund Client ID
ZMW 1,600.00

2 February 2026

Equity Fund

EUT24-403044671

ZMW 4,665.00

24 January 2026

Equity Fund

EUT25-261834711

ZMW 1,100.00

23 January 2026

Equity Fund

EUT24-403044671

ZMW 9,000.00

21 January 2026

Equity Fund

EUT26-170580101

ZMW 2,000.00

21 January 2026

Equity Fund

EUT25-205130711

ZMW 500.00

20 January 2026

Equity Fund

EUT25-801656101

ZMW 1,050.00

20 January 2026

Equity Fund

EUT26-185537651

ZMW 1,573.00

2 January 2026

Equity Fund

EUT25-261834711

ZMW 2,580.00

24 December 2025

Equity Fund

EUT25-261834711

ZMW 500.00

19 December 2025

Equity Fund

EUT25-801656101

ZMW 10,000.00

18 December 2025

Equity Fund

EUT25-261834711

ZMW 1,960.00

5 December 2025

Equity Fund

EUT25128242101

ZMW 52,983.00

27 November 2025

Equity Fund

483482

ZMW 500.00

26 November 2025

Equity Fund

EUT25-251012321

ZMW 500.00

25 November 2025

Equity Fund

EUT25-188715651

ZMW 2,000.00

21 November 2025

Equity Fund

EUT25-205130711

ZMW 2,000.00

18 November 2025

Equity Fund

EUT25-348462161

ZMW 4,500.00

12 November 2025

Equity Fund

EUT25-348462161

ZMW 2,000.00

21 October 2025

Equity Fund

EUT25-205130711

ZMW 500.00

6 October 2025

Equity Fund

EUT25-801656101

ZMW 1,500.00

25 September 2025

Equity Fund

EUT25-205130711

ZMW 500.00

19 September 2025

Equity Fund

EUT25-284568101

ZMW 500.00

22 August 2025

Equity Fund

EUT25-801656101

ZMW 5,000.00

20 August 2025

Equity Fund

EUT25-205130711

ZMW 5,000.00

8 August 2025

Equity Fund

EUT25-205130711

ZMW 4,500.00

7 August 2025

Equity Fund

EUT25-37516

ZMW 500.00

11 June 2025

Equity Fund

EUT25-653556101

ZMW 1,000.00

9 May 2025

Equity Fund

EUT25-619880/10/1

ZMW 500.00

18 December 2024

Equity Fund

EUT24-418030741

ZMW 500.00

13 December 2024

Equity Fund

EUT24-403044671

ZMW 500.00

25 November 2024

Equity Fund

EUT24-403044671