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We seek to provide sustainable risk adjusted returns over the long term

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The core of our approach is active management and a disciplined risk process

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Focused diversification of risk across as many Alpha sources as possible

Our Approach

The culture of risk budgeting, both at instrument and overall portfolio level, is core to our approach. We aim to ensure that risk is predominantly being taken in higher conviction views and in a manner that optimally diversifies our sources of alpha.

> We are judicious investors

> Dedicated specialist team

> We are a process driven team

> Fundamental research and relative valuation based team

EQUITIES STRATEGIES

Segregated Mandate for Institutional Investors
Our investment approach is style agnostic, with the bottom up process driven by the belief that fundamental intrinsic company valuation is the only basis for sustained long-term performance. We integrate portfolio construction techniques to manage risk, this allows us to generate competitive, risk-adjusted returns on a consistent basis through any full market cycle.
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EQUITIES STRATEGIES

We seek to provide sustainable risk adjusted returns over the long term.

FIXED INCOME STRATEGIES

We seek to provide sustainable risk adjusted returns over the long term.

MULTI-ASSET STRATEGIES

We seek to provide sustainable risk adjusted returns over the long term.
LEBELA FUND MANAGERS

Lebela Fund Managers is a Namibian financial services company with asset management offerings. It is the preferred investment company of choice as it ensures the preservation of capital and high returns.

GET IN TOUCH
Maerua Mall Office Tower, 5th Floor

Cnr of Jan Jonker Road & Robert Mugabe Avenue

Windhoek, Namibia

+264 82 402 4000
info@lebela.com

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