Risk managed solutions include portfolios that are designed to have a growth orientation, whilst at the same time manage risk. These portfolios, typically, utilise derivative protection strategies as well as features which are made available by the Liberty balance sheet, such as return smoothing, to protect the portfolio and reduce volatility.
Risk managed solutions include portfolios that are designed to have a growth orientation, whilst at the same time manage risk.
Risk managed solutions include portfolios that are designed to have a growth orientation, whilst at the same time manage risk.
The Liberty Advanced Bonus portfolio will invest primarily in the local market, using a derivative collar on the local index to provide an implicit capital guarantee before management costs.
The Balanced Bonus smoothed portfolio combines local and global equities, bonds, money market instruments and property into a growth-focused portfolio
The Liberty Managed portfolio combines local and global equities, bonds, money market instruments and property into a single portfolio that represents a best investment view for Liberty Corporate.
The Secure Fund portfolio is a conservative, absolute return fund that focuses on preservation of capital in the short term, whilst targeting inflation-beating growth in the medium to long term.
Liberty Stable Growth portfolio is particularly useful as a growth portfolio in a life-staged retirement fund solution, or as a core portfolio for any investment strategy that requires consistent growth in returns over an extended period of time.
The Stable Income portfolio achieves its growth objectives by investing in a combination of unique asset classes, including Liberty's unlisted property portfolio and STANLIB's award-winning fixed-interest and listed property franchises.