We believe that we can achieve strong risk-adjusted returns through strategically diversified fund-of-fund portfolios with specific risk and target date objectives.
PSG constructs and actively manages portfolios within defined parameters and objectives, with a focus on risk-adjusted returns.
We do independent screening, selection, rigorous due diligence and monitoring of managers and fund components.
We also look for concentrated, pure, well-defined fund components to build portfolios that are diversified with a mix of complementary funds.
Underlying fund components are actively managed. To augment the risk-adjusted return opportunity, the experience and expertise of our PSG team adds value through top-down active management and making strategic asset-mix moves aligned with our long-term economic and market views.