Nigerian Mutual Funds/Myrtle Balanced Plus Fund
Balanced FundsFigures updated 2026-07-03

Myrtle Balanced Plus Fund

Managed by Myrtle Asset Management LimitedVisit website ↗Compare this fund

A metric-led profile of this Nigerian mutual fund using the latest published fund figures.

Net asset value
NGN 51.93M
Overall rank#198 of 199
Balanced Funds rank#29 of 29
Week-to-date yield
0.07%
Week-to-date
Year-to-date yield
0%
Year-to-date
Unitholders
5
Investor count
Fund share
0%
Share of total fund NAV
Performance trend

How Myrtle Balanced Plus Fund has moved

2026-06-052026-07-03 · 5 data points

Net asset value
3.06%
NGN 51.93M
Week-to-date yield
-0.08 pp
0.07%
DateNAVWTD yieldYTD yield
2026-07-03NGN 51.93M0.07%0%
2026-06-26NGN 51.89M-0.03%0%
2026-06-19NGN 51.91M0.13%0%
2026-06-11NGN 51.84M2.88%0%
2026-06-05NGN 50.39M0.15%0%
Fund profile

What stands out about Myrtle Balanced Plus Fund

The Myrtle Balanced Plus Fund is one of the smallest funds in Nigeria's mutual fund market, with a Net Asset Value (NAV) of ₦51.93M and a ranking of #221 of 222 funds overall, placing it last among all 29 Balanced Funds at #29 of 29 in its category. Despite its size, the fund has shown a modest but steady recovery in recent weeks. After dipping to a Week-to-Date (WTD) yield of -0.03% on 26 June 2026, it edged back into positive territory at 0.07% by 3 July 2026. That current WTD yield, while small, actually compares favourably to the median WTD yield for Balanced Funds of -0.43%, meaning the fund is outperforming the typical peer this week.

Zooming out, the fund's Year-to-Date (YTD) yield sits at 0.00%, meaning investors who have held units since the start of the year have seen no net growth so far in 2026. The NAV has risen from ₦50.39M on 5 June 2026 to ₦51.93M on 3 July 2026, a gain driven largely by a strong spike of 2.88% WTD on 11 June 2026, after which growth flattened out. The fund currently serves just 5 unitholders (the people who own units in the fund), making it extremely concentrated in terms of ownership. Its small size and limited investor base mean that even minor inflows or outflows could cause noticeable swings in the NAV.

Key insight: While the Myrtle Balanced Plus Fund ranks last in its category by size, its current WTD yield of 0.07% is beating the Balanced Funds median of -0.43% this week, which is a rare bright spot for a fund with a flat 0.00% YTD return.

Tighter bid-offer spread than 72% of balanced funds

How it compares in its type

Week-to-date yield
0.07%
Higher than 69% of balanced funds
This fundBalanced Funds median
Net asset value
₦51.93M
Larger than 0% of balanced funds
This fundBalanced Funds median
Unitholders
5
More than 0% of balanced funds
This fundBalanced Funds median
Bid-offer spread
₦0
Tighter than 72% of balanced funds

Positions are based on SEC figures from 2026-07-03 and change as the data updates.

Recent movement

  • Net asset value is up 3.06% since 2026-06-05.
  • Week-to-date yield has moved from 0.15% to 0.07%.
  • Added about 2 unitholders since 2026-06-05.

More from Myrtle Asset Management Limited

Runs 3 funds tracked here, managing ₦661.37M in total.

Price Details

Bid price
NGN 1.00
Offer price
NGN 1.00
Spread
NGN 0.00
USD NAV
N/A
USD bid
N/A
USD offer
N/A

About the manager

Matched to the SEC register of capital market operators.

ACTIVE
MYRTLE ASSET MANAGEMENT AND TRUST LIMITED
CAC number
1782843
SEC file number
1555
Registered
2026-06-23
Fidelity bond expiry
2026-06-23
Phone
+2348033026399
Email
finance@myrtleng.com
Registered address
634 Adeyemo Alakija Street , Lagos State

How to invest in Myrtle Balanced Plus Fund

You invest through the fund manager. Always confirm they are SEC-registered and check current terms first. This is not investment advice.

Frequently asked questions

Why is Myrtle Balanced Plus Fund's yield higher than most funds in its category?+

Myrtle Balanced Plus Fund reported a week-to-date yield of 0.07%, compared to the category median of -0.43% for balanced funds. A higher yield often reflects the rate environment at the time the fund's instruments were acquired, the fund's portfolio mix, or its pricing structure. Past yield performance is not a guarantee of future returns.

What is the current yield of Myrtle Balanced Plus Fund?+

As of the SEC update on 2026-07-03, Myrtle Balanced Plus Fund reported a week-to-date yield of 0.07% and a year-to-date yield of 0%. Yields move over time and are published as indicators for comparison, not as a guaranteed future return.

How do I invest in Myrtle Balanced Plus Fund?+

You invest through the fund manager, Myrtle Asset Management Limited. Visit their website to get started. Check current terms including minimum investment and fees before proceeding.

Is Myrtle Balanced Plus Fund regulated in Nigeria?+

Myrtle Balanced Plus Fund appears in the SEC's published collective investment scheme data, which covers SEC-registered funds. You can confirm the manager's current registration status on the Investment Safety Checker.

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Type NAV
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New to mutual fund terms?

Look up net asset valueThe value of a fund's assets minus its liabilities, usually expressed in total and per unit., yield, bid-offer spreadThe difference between the price at which units can be sold and the price at which they can be bought., unitholders, and more in the glossary.

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Educational use only. This is not investmentAn asset or commitment of money made with the expectation of future income, growth, or both. advice. Check the fund managerThe licensed firm responsible for investment decisions and day-to-day management of a fund.'s latest factsheet, fees, minimum investment, redemptionThe process of selling fund units back to the fund in exchange for cash. terms, and current price before making any investment decision.