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Financial Advisory

The Advisory Sessions seek to provide information on financial issues, so as to enable each investors to utilize their available resources to improve their financial positions. These private consultations provide solutions to individuals on all levels.

MoneyMasters believes these sessions lead to financial goals achievement.

 

Market Report -August 12 2022

MoneyMasters Limited Funds Performance as at August 12, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1084

-1.42%

-3.19%

MoneyBuilder

1.0602

-1.30%

 -8.84%

Equity

1.1005

7.38%

-7.20%

Market Report -August 16 2022

MoneyMasters Limited Funds Performance as at August 16, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1251

-0.06%

-1.46%

MoneyBuilder

1.0648

-0.88%

 -8.29%

Equity

1.0862

5.98%

-9.46%

Market Report -August 19 2022

MoneyMasters Limited Funds Performance as at August 19, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1087

 -1.40%

-2.59%

MoneyBuilder

1.0636

-0.99%

 -8.28%

Equity

1.0163

0.84%

-13.25%

Market Report -August 23 2022

MoneyMasters Limited Funds Performance as at August 23, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1086

 -1.41%

-2.56%

MoneyBuilder

1.0613

-1.20%

 -8.52%

Equity

1.0295

-0.45%

-13.25%

Market Report -August 25 2022

MoneyMasters Limited Funds Performance as at August 25, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1057

 -1.66%

-2.73%

MoneyBuilder

1.0582

-0.49%

 -8.80%

Equity

1.0121

-1.25%

-12.87%

Market Report -August 29 2022

MoneyMasters Limited Funds Performance as at August 29, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1063

 -1.61%

-2.85%

MoneyBuilder

1.0555

-1.74%

 -9.23%

Equity

0.9817

-4.22%

-15.47%

Market Report -August 31 2022

MoneyMasters Limited Funds Performance as at August 31, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1057

 -1.66%

-3.03%

MoneyBuilder

1.0552

-1.77%

 -9.39%

Equity

0.9867

-3.73%

-15.59%

Market Report - September 2 2022

MoneyMasters Limited Funds Performance as at September 2, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1074

 -1.51%

-3.22%

MoneyBuilder

1.0573

-1.57%

 -9.10%

Equity

0.9730

-5.06%

-17.23%

Market Report - September 6 2022

MoneyMasters Limited Funds Performance as at September 6, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1093

 -1.34%

-3.06%

MoneyBuilder

1.0592

-1.40%

 -8.95%

Equity

0.9629

-6.05%

-17.88%

Market Report - September 9 2022

MoneyMasters Limited Funds Performance as at September 9, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1108

 -1.21%

-3.00%

MoneyBuilder

1.0635

-1.00%

 -8.67%

Equity

1.0166

-0.81%

-13.63%

Market Report - September 20 2022

MoneyMasters Limited Funds Performance as at September 20, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1081

 -1.45%

-3.28%

MoneyBuilder

1.0547

-1.82%

 -9.60%

Equity

0.9593

-6.40%

-15.73%

Market Report - September 22 2022

MoneyMasters Limited Funds Performance as at September 22, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1061

 -1.63%

-3.32%

MoneyBuilder

1.0554

-1.75%

 -9.55%

Equity

0.9362

-8.65%

-17.96%

Market Report - September 27 2022

MoneyMasters Limited Funds Performance as at September 27, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.0947

 -2.64%

-3.71%

MoneyBuilder

1.0446

-2.76%

 -10.03%

Equity

0.9232

-9.92%

-20.37%

Market Report - September 29 2022

MoneyMasters Limited Funds Performance as at September 29, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.0927

 -2.82%

-3.44%

MoneyBuilder

1.0425

-2.95%

 -10.30%

Equity

0.8521

-16.86%

-26.21%

Market Report - October 03 2022

MoneyMasters Limited Funds Performance as at October 3, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.0977

 -2.37%

-2.75%

MoneyBuilder

1.0304

-4.08%

 -10.72%

Equity

0.9380

-8.48%

-19.54%

Market Report - October 05 2022

MoneyMasters Limited Funds Performance as at October 5, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1003

 -2.14%

-3.01%

MoneyBuilder

1.0493

-2.32%

 -9.47%

Equity

0.9536

-6.96%

-19.24%

Market Report - October 10 2022

MoneyMasters Limited Funds Performance as at October 10, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1029

 -1.91%

-3.10%

MoneyBuilder

1.0511

-2.15%

 -9.58%

Equity

0.9032

-11.87%

-22.95%

Market Report - October 12 2022

MoneyMasters Limited Funds Performance as at October 12, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1038

 -1.83%

-3.21%

MoneyBuilder

1.0455

-2.67%

 -10.12%

Equity

0.8927

-12.90%

-23.20%

Market Report - October 24 2022

MoneyMasters Limited Funds Performance as at October 24, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1056

 -1.67%

-3.19%

MoneyBuilder

1.0379

-3.38%

 -10.22%

Equity

0.9079

-11.42%

-24.97%

Market Report - October 26 2022

MoneyMasters Limited Funds Performance as at October 26, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1042

 -1.80%

-3.58%

MoneyBuilder

1.0380

-3.37%

 -10.24%

Equity

0.9308

-9.18%

-22.73%

Market Report - October 28 2022

MoneyMasters Limited Funds Performance as at October 28, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1040

-1.81%

-3.66%

MoneyBuilder

1.0395

-3.23%

-10.21%

Equity

0.9176

-10.47%

-23.53%

Market Report - November 02 2022

MoneyMasters Limited Funds Performance as at November 02, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1115

-1.15%

-3.17%

MoneyBuilder

1.0414

-3.05%

-10.01%

Equity

0.8668

-15.43%

-29.47%

Market Report - November 04 2022

MoneyMasters Limited Funds Performance as at November 04, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1110

-1.19%

-3.23%

MoneyBuilder

1.0410

-3.09%

-10.08%

Equity

0.8672

-15.39%

-29.97%

Market Report - November 08 2022

MoneyMasters Limited Funds Performance as at November 08, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1134

-0.98%

-3.25%

MoneyBuilder

1.0444

-2.77%

-9.99%

Equity

0.8519

-16.88%

-32.00%

Market Report - November 11 2022

MoneyMasters Limited Funds Performance as at November 11, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1148

-0.85%

-3.06%

MoneyBuilder

1.0462

-2.61%

-9.69%

Equity

0.8917

-13.00%

-28.78%

Market Report - November 16 2022

MoneyMasters Limited Funds Performance as at November 16, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1193

-0.45%

 -2.53%

MoneyBuilder

1.0493

-2.32%

 -9.26%

Equity

0.8752

-14.61%

-30.45%

Market Report - November 23 2022

MoneyMasters Limited Funds Performance as at November 23, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1214

-0.27%

-2.18%

MoneyBuilder

1.0593

-1.39%

-8.25%

Equity

0.8669

-15.42%

-30.73%

Market Report - November 25 2022

MoneyMasters Limited Funds Performance as at November 25, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1252

0.07%

-1.84%

MoneyBuilder

1.0599

-1.33%

-8.21%

Equity

0.8647

-15.63%

-30.86%

Market Report - November 30 2022

MoneyMasters Limited Funds Performance as at November 30, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1326

0.73%

-1.39%

MoneyBuilder

1.0602

-1.30%

-8.10%

Equity

0.8489

-17.17%

-31.26%

Market Report -August 09 2022

MoneyMasters Limited Funds Performance as at August 09, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1012

-2.06%

-3.66%

MoneyBuilder

1.0584

-1.47%

 -8.65%

Equity

1.0321

0.70%

-14.48%

Market Report -August 15 2022

MoneyMasters Limited Funds Performance as at August 15, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1090

-1.37%

-2.87%

MoneyBuilder

1.0599

-1.33%

 -8.72%

Equity

1.0973

7.06%

-8.54%

Market Report -August 18 2022

MoneyMasters Limited Funds Performance as at August 18, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1110

 -1.19%

-2.60%

MoneyBuilder

1.0655

-0.81%

 -8.10%

Equity

1.0483

2.28%

-11.33%

Market Report -August 22 2022

MoneyMasters Limited Funds Performance as at August 22, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1094

 -1.33%

-2.49%

MoneyBuilder

1.0619

-0.15%

 -8.46%

Equity

0.9965

-2.77%

-16.03%

Market Report -August 24 2022

MoneyMasters Limited Funds Performance as at August 24, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1091

 -1.36%

-2.50%

MoneyBuilder

1.0642

-0.93%

 -8.27%

Equity

1.0021

-2.22%

-13.92%

Market Report -August 26 2022

MoneyMasters Limited Funds Performance as at August 26, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1054

 -1.69%

-2.72%

MoneyBuilder

1.0571

-1.59%

 -8.91%

Equity

0.9845

-3.94%

-14.77%

Market Report -August 30 2022

MoneyMasters Limited Funds Performance as at August 30, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1056

 -1.67%

-2.91%

MoneyBuilder

1.0510

-2.16%

 -9.61%

Equity

0.9798

-4.40%

-15.63%

Market Report - September 1 2022

MoneyMasters Limited Funds Performance as at September 1, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1070

 -1.55%

-3.18%

MoneyBuilder

1.0550

-1.79%

 -9.39%

Equity

0.9818

-4.21%

-16.73%

Market Report - September 5 2022

MoneyMasters Limited Funds Performance as at September 5, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1075

 -1.50%

-3.22%

MoneyBuilder

1.0579

-1.52%

 -9.06%

Equity

0.9685

-5.50%

-17.40%

Market Report - September 7 2022

MoneyMasters Limited Funds Performance as at September 7, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1083

 -1.43%

-3.21%

MoneyBuilder

1.0587

-1.44%

 -9.06%

Equity

0.9720

-5.16%

-17.13%

Market Report - September 16 2022

MoneyMasters Limited Funds Performance as at September 16, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1102

 -1.26%

-3.07%

MoneyBuilder

1.0553

-1.76%

 -9.64%

Equity

0.9596

-6.37%

-17.06%

Market Report - September 21 2022

MoneyMasters Limited Funds Performance as at September 21, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1078

 -1.48%

-3.21%

MoneyBuilder

1.0559

-1.70%

 -9.51%

Equity

0.9480

-7.50%

-16.56%

Market Report - September 26 2022

MoneyMasters Limited Funds Performance as at September 26, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.0969

 -2.45%

-3.52%

MoneyBuilder

1.0460

-2.63%

 -9.91%

Equity

0.9206

-10.18%

-20.60%

Market Report - September 28 2022

MoneyMasters Limited Funds Performance as at September 28, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.0860

 -3.42%

-4.54%

MoneyBuilder

1.0418

-3.02%

 -10.25%

Equity

0.9037

-11.83%

-21.89%

Market Report - September 30 2022

MoneyMasters Limited Funds Performance as at September 30, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.0923

 -2.85%

-3.31%

MoneyBuilder

1.0432

-2.89%

 -10.16%

Equity

0.9209

-10.15%

-20.43%

Market Report - October 04 2022

MoneyMasters Limited Funds Performance as at October 4, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.0999

 -2.18%

-2.55%

MoneyBuilder

1.0497

-2.28%

 -9.05%

Equity

0.9614

-6.20%

-17.53%

Market Report - October 06 2022

MoneyMasters Limited Funds Performance as at October 6, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1032

 -1.89%

-2.69%

MoneyBuilder

1.0507

-2.19%

 -9.31%

Equity

0.9532

-7.00%

-18.93%

Market Report - October 11 2022

MoneyMasters Limited Funds Performance as at October 11, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1034

 -1.87%

-3.06%

MoneyBuilder

1.0471

-2.52%

 -9.92%

Equity

0.8884

-13.32%

-24.22%

Market Report - October 21 2022

MoneyMasters Limited Funds Performance as at October 21, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.0990

 -2.26%

-3.56%

MoneyBuilder

1.0372

-3.44%

 -10.65%

Equity

0.9074

-11.46%

-24.71%

Market Report - October 25 2022

MoneyMasters Limited Funds Performance as at October 25, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1067

 -1.57%

-3.09%

MoneyBuilder

1.0406

-3.13%

 -9.99%

Equity

0.9375

-8.53%

-22.52%

Market Report - October 27 2022

MoneyMasters Limited Funds Performance as at October 27, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1063

-1.61%

-3.35%

MoneyBuilder

1.0395

-3.23%

-10.09%

Equity

0.9026

-11.93%

-24.15%

Market Report - October 31 2022

MoneyMasters Limited Funds Performance as at October 31, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1040

-1.81%

-3.47%

MoneyBuilder

1.0383

-3.34%

-10.24%

Equity

0.9070

-11.50%

-24.26%

Market Report - November 03 2022

MoneyMasters Limited Funds Performance as at November 03, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1104

-1.25%

-3.33%

MoneyBuilder

1.0389

-3.29%

-10.08%

Equity

0.8605

-16.04%

-30.35%

Market Report - November 07 2022

MoneyMasters Limited Funds Performance as at November 07, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1125

-1.06%

-3.33%

MoneyBuilder

1.0418

-3.02%

-10.21%

Equity

0.8761

-14.52%

-30.07%

Market Report - November 09 2022

MoneyMasters Limited Funds Performance as at November 09, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1132

-1.00%

-3.17%

MoneyBuilder

1.0427

-2.93%

-10.01%

Equity

0.8213

-19.87%

-35.30%

Market Report - November 15 2022

MoneyMasters Limited Funds Performance as at November 15, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1158

-0.76%

-3.01%

MoneyBuilder

1.0493

-2.32%

-9.48%

Equity

0.8941

-12.76%

-29.34%

Market Report - November 18 2022

MoneyMasters Limited Funds Performance as at November 16, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1252

0.07%

-2.03%

MoneyBuilder

1.0583

-1.48%

-8.40%

Equity

0.8590

-16.19%

-31.13%

Market Report - November 24 2022

MoneyMasters Limited Funds Performance as at November 24, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1217

-0.24%

-2.23%

MoneyBuilder

1.0594

-1.38%

-8.24%

Equity

0.8695

-15.16%

-30.81%

Market Report - November 28 2022

MoneyMasters Limited Funds Performance as at November 28, 2022.

Fund

NAV

Year-To-Date Return*

12 Month Historical

Growth

1.1313

0.61%

-1.37%

MoneyBuilder

1.0590

-1.42%

-8.14%

Equity

0.8504

-17.03%

-32.03%

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