Our Business and Investment Model
Our clients have long-term liabilities, and our investments provide the returns that secure their future payments and obligations. Investing is an intrinsically dynamic activity. As the capital markets evolve, we adapt alongside them. Our business and investment model refocuses us to be an active, in-house asset manager with sophisticated strategies, so we can continue to succeed within an increasingly complex investment environment. Our team of skilled investment professionals, operating within a robust culture of investment risk management, collaborate across various disciplines for the benefit of our clients.
Private Markets
Our clients’ long-term investment horizons and predictable liquidity needs allow them to benefit from investments in asset classes that are illiquid and longer-term in nature, such as private credit, infrastructure and renewable resources, private equity, real estate equity and debt. Where possible, we prefer direct investments which allow us to reduce fees, gain significant ownership stakes and governance rights, and exert our influence to drive long-term value creation and improvements in ESG practices.
Public Markets
Our diversified public market program combines index and active management strategies. We develop strategies and structure portfolios that capture and capitalize on opportunities within the global markets. Our fixed income portfolio allows clients to invest in global government bonds, investment-grade corporate securities, and real return bonds.