EasyAssetManagement Enhanced Balanced

EasyAssetManagement Enhanced Balanced

The goal is to offer Capital Growth and targeting a return of inflation +6%.

HORIZON

> 5 Years

Available In

ZAR

Portfolio Type

Enhanced

Investment Objective

Capital Growth

STRATEGY

Risk Targeted

BENCHMARK

ASISA MA High Equity

BUNDLE FEE

1.00%

TER

0.16%

Target

inflation +6%

About this Fund

Our Enhanced Range uses four main building blocks, across ETFs and individual shares to construct our portfolios: Value, Quality, Stability, and Momentum. Using our proprietary active asset management process, that is driven by algorithmic analysis of the market, we tactically manage allocations to the building blocks to optimize portfolio outcomes.

The Enhanced Income Plus portfolio strategically blends Asset Classes (Cash, Bonds, Equity and Property), locally and abroad, to achieve the desired return and risk outcome.

See more about EasyAssetManagement’s Investment Philosophy and Methodology here

Who is this Suitable for?

  • You are looking for capital growth over the long term, in a diversified portfolio.
  • You are ideally investing for at least 5 years.
  • You are comfortable taking on a higher degree of risk through market fluctuations which could result in capital loss.

Investment Strategy

Bonds 24.95%

Cash 2.19%

Foreign Equity 39.84%

Property 0.16%

Equity 32.86%

Fund Charges (excl. VAT)

BUNDLE FEE

1.00% P/A (excl VAT)

TRANSACTION COSTS

0.22%

underlying total expense ratio (ter) Learn about what the total expense ratio is.

0.16%

total investment cost

1.39%

Transaction costs are estimated over a 3 year annualised period