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Liberty Active

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 225 bps for this portfolio range depending on the portfolio selected and tax status of the investor. In addition to the fees deducted by Liberty there may be shareholder participation applicable. These fees are subject to change.

Liberty Linked managed fund
Liberty Property managed fund
Liberty Smoothed bonus fund
Liberty Real return fund
Liberty SA Equity fund
Liberty Conservative international fund
Liberty International fund 
Liberty Focused fund
Liberty Secured Global equity fund
Liberty Global hedge fund
Liberty Capital preservation fund
Liberty World bond fund
Liberty Global equity fund
Liberty Balanced fund of funds
Liberty Equity aggressive fund


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