The portfolio combines local and global equities, bonds, money market instruments and property into a single portfolio that represents a house view for the underlying manager.
The portfolio combines local and global equities, bonds, money market instruments and property into a single portfolio which represents a house view for the underlying manager.
The portfolio combines local and global equities, bonds, money market instruments and property into a single portfolio which represents a house view for the underlying manager.
The portfolio combines local and global equities, bonds, money market instruments and property into a single portfolio that represents a house view for the underlying manager.
The portfolio combines local and global equities, bonds, money market instruments and property into a single portfolio that represents a house view for the underlying manager.
Liberty Corporate Absolute Returns is a market-linked portfolio that utilises both growth assets and derivative protection.
Liberty Corporate Absolute Returns SA is a local-only, market-linked portfolio that utilises both growth assets and derivative protection to ensure that capital is preserved over a rolling annual period, with real returns sought over longer periods.
The Liberty Corporate Aggressive Balanced Tracker Fund portfolio uses a combination of tracker funds with different asset class exposures to provide cost-effective exposure to an aggressive balanced allocation
The Liberty Corporate Choice Assets portfolio combines local and global equities, bonds, money market instruments and property into a single portfolio that represents a moderate best investment view for Liberty Corporate.
The Liberty Corporate Conservative Balanced Tracker Fund uses a combination of tracker funds with different asset class exposures to provide a cost-effective exposure to a conservative, risk-profiled balanced allocation.
The Liberty Corporate Moderate Balanced Tracker Funds uses a combination of tracker funds with different asset class exposures to provide a cost-effective exposure to a moderate balanced allocation.
The Liberty Preferred Assets portfolio combines local and global equities, bonds, money market instruments and property into a single portfolio which represents a best investment view for Liberty Corporate
The Liberty Corporate Preferred Assets SA portfolio combines local equities, bonds, money market instruments, and property, into a single portfolio that represents a local best investment view for Liberty Corporate.
The Liberty Corporate Specialist Balanced portfolio combines local and global equities, bonds and money market instruments into a single, aggressively-focused portfolio that represents an aggressive investment view for Liberty Corporate.
The Liberty Corporate Specialist Balanced SA portfolio combines local equities, bonds and money market instruments into a single, aggressively-focused portfolio that represents a local, aggressive investment view for Liberty Corporate.
The STANLIB Multi-Manager Aggressive Balanced portfolio combines local and global equities, bonds, money market instruments and property into a single portfolio using aggressive views.
The STANLIB Multi-Manager Conservative Balanced portfolio combines local and global equities, bonds, money market instruments and property into a single portfolio using conservative views.
The STANLIB Multi-Manager CPI Plus portfolio is aimed at investors who want to achieve positive returns over rolling 12-month periods, irrespective of market conditions, whilst still achieving real returns of 4% over rolling three-year periods.
The STANLIB Multi-Manager Moderate Balanced portfolio combines local and global equities, bonds, money market instruments and property into a single portfolio using house manager views.