STANLIB Balanced Cautious Fund repositions for an outlook of moderating growth

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Henk Viljoen, Snr Portfolio Manager of the STANLIB Balanced Cautious Fund, explains how they are adjusting certain exposures in the fund, given expectations that global and domestic growth will moderate from current levels. In its 40% equity holding, the managers favour global equities, including emerging markets and Europe, and domestic banking shares.
21 Sep 2021 English South Africa Investing

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