Asset management

GLC manages more than $55 billion in assets across a range of traditional, specialty and alternative investment mandates.

One firm. One focus. One culture. Distinct investment divisions.

Delivering strong investment results is the priority across all of GLC’s investment divisions. Each of our investment management divisions have distinct investment approaches and offer deep expertise within specialized areas of portfolio management.

More than 75 unique portfolio strategies

We offer a broad range of fixed income, domestic and global equity, balanced and asset allocation mandates through GLC’s distinct investment management divisions. Each division has a dedicated team of experienced portfolio managers, as well as its own investment philosophy and strategy. 

Responsible investing

GLC is a signatory of the United Nations-supported Principles of Responsible Investing (UN PRI).  We are a part of a network of international investors that aspire to 6 principles designed to make the global financial system more sustainable. All of GLC’s portfolio managers consider environmental, social and governance (ESG) factors in their investment decisions. GLC also offers a selection of socially responsible investment (SRI) mandates screened by a leading independent global provider of ESG and corporate governance research.