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Offshore Investment Plan


Offshore Investment Plan (Dollar Denominated Funds)

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 are currently 0 bps for this portfolio range(for all portfolios and tax status of the investor) . These fees are subject to change.

Latest Asset Manager Commentary

Note: We are finalising certain details relating to this portfolio, once confirmed the factsheet will be published.

Liberty Offshore US Dollar Trackers

Euro Cash Tracker
 
Global Bond Tracker
 
Global Equity Tracker
 
Sterling Cash Tracker
 
USD Cash Tracker
 


STANLIB

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

STANLIB Euro Cash Fund
 
STANLIB European Equity Fund
 
STANLIB Global Balanced Cautious Fund
 
STANLIB Global Balanced Fund
 
STANLIB Global Bond Fund
 
STANLIB Global Emerging Market Fund
 
STANLIB Global Equity Fund
 
STANLIB Global Property Fund
 
STANLIB Sterling Cash Fund
 
STANLIB US Dollar Cash Fund
 

STANLIB Multi Manager

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

STANLIB Multi-Manager Global Bond Fund
 
STANLIB Multi-Manager Global Equity Fund
 

Melville Douglas

Melville Douglas Global Equity Fund
 
Melville Douglas Global Growth Fund
 
Melville Douglas Income Fund (USD)
 

Standard Bank International Funds

Standard Bank International Funds Limited Multi Manager Global Balanced Fund (GBP)
 
Standard Bank International Funds Limited Multi Manager Global Balanced Fund (USD)
 
Standard Bank International Funds Limited Multi Manager Global Equity Fund (USD)
 
Standard Bank International Funds Limited Multi Manager Global Equity Fund (GBP)
 




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

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