About the Manager and Strategy

RISK
1-35

Enhanced Conservative

Risk/Return payoff range: Investors that are comfortable suffering a loss of up to - 5% in pursuit of positive returns of up to +12% over a 6-month period.

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 Conservative 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

Suitable For

  • You are risk averse and want to prioritise protecting your capital.
  • You are ideally investing for at least 2 years.
  • You want to achieve returns better than inflation but are comfortable with lower potential return over time than you might earn in an investment that takes on more risk.

View Factsheet HERE

Calculate your risk number

Bundle Information

RA Investable YES
Launch Date 2018/05/31
Benchmark ASISA MA Low Equity
Minimum Time Horizon 2 Years
RA ZAR TFSA USD

Percentage and Performance

Costs

Management/Bundle Fee 1.00%
TER 1.20%
Estimated TC 0.10%
Estimated TIC 1.30%

Performance

* Performance quoted excludes management / bundle fee's
May 2025 3.40%
Last 3 Months -4.72%
Last 6 Months 2.03%
YTD -3.84%
Last 12 Months 13.46%
Last 3 Years N/A
Last 5 Years N/A
Since Inception N/A

Bundle NAV

Asset Allocation

Bonds 23.72%
Property 0%
Cash 76.28%
Local Equity 0%
Foreign Equity 0%

Constituents

Here is a list of companies/ETFs that make up this bundle.

Satrix GOVI ETF
Satrix SA Bond ETF