At the heart of GLC’s investment management teams are talented and experienced professionals who are passionate about delivering strong investment results.
GWLIM’s management style blends top-down macro-analysis with bottom-up fundamental stock research across the market cap spectrum.
London Capital’s bottom-up, quantitative- approach underpins both stock selection and portfolio construction.
Laketon does deep dive analysis and dynamic financial modeling of companies to select large cap holdings within concentrated portfolios.
Portico manages risk and captures incremental gains within the fixed-income market through an integrated multi-factor approach.
The combined expertise of GLC’s Portfolio Solutions Group (PSG) division and the GLC Asset Mix Committee. GMAS is a powerful, multi-disciplinary team of senior investment experts that delivers an enhanced level of active management to GLC’s balanced and target risk and target date asset allocation funds.