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1nvest High Equity Balanced Stanlib Fund

The fund invests in underlying collective investment scheme portfolios or cash portfolios to achieve its objective. Each of the underlying portfolios tracks a benchmark index in the equity, bond, property or money markets in order for the overall portfolio to track its benchmark as closely as possible. The portfolio is rebalanced semi-annually and therefore has minimal trading costs.

asset class

Balanced

product type

UT

geography

Local

risk rating

conservative

moderately
conservative

moderate

moderately aggressive

aggressive

minimum period

1 month

6 months

1 year

3 years

5 years

7 years

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documents / info

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investor info