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The returns shown on the fund fact sheets are net of any fees levied within the unit price. These fees may be levied by Liberty and/or an external asset manager. The fees deducted by Liberty from the unit price vary between 0 bps and 74 bps for this portfolio range depending on the portfolio selected and tax status of the investor. These fees are subject to change.

Latest Asset Manager Commentary


Tracker Risk Profiled

Liberty Low equity tracker (New)
Liberty Conservative equity tracker (New)
Liberty Medium equity tracker (New)
Liberty Balanced equity tracker (New)
Liberty High equity tracker (New)

Liberty Risk Profile

Liberty Conservative (New)
Liberty Moderately Conservative (New)
Liberty Moderate (New)
Liberty Moderately Aggressive (New)
Liberty Aggressive (New)
Supplementary Detail

STANLIB Multi-Manager

Please note that these are the latest available factsheets from the asset manager.

STANLIB Multi-Manager Wealth Stabiliser
STANLIB Multi-Manager Wealth Preserver
STANLIB Multi-Manager Wealth Enhancer
STANLIB Multi-Manager Wealth Accumulator
STANLIB Multi-Manager Wealth Multiplier


Liberty Group Limited (Reg. no 1957/002788/06) is a registered Long Term Insurer and an Authorised Financial Services Provider (FAIS no 2409).