We believe diversified portfolios with actively managed underlying holdings and an actively managed overall asset mix can provide strong investment results.
The GLC Asset Mix Committee manages balanced fund strategies through asset mix decisions to maximize opportunity and control risks within a market cycle.
We leverage the broad skill set of a multi-disciplinary team. We identify current risks and opportunities within each asset class, as well as macro trends in economic and capital market cycles to guide longer term asset mix positioning. We make tactical and strategic moves within the specific investment objectives and risk tolerances of each mandate to enhance the portfolio’s investment results.
The underlying components of GLC’s balanced portfolios are actively managed by the experienced and proven investment professionals within GLC’s respective investment divisions. Where applicable, we will leverage other asset managers with proven track records within their specific asset class. GLC’s balanced portfolios are managed separately and distinctly from the asset allocation portfolios managed by GLC’s Portfolio Solutions Group division.