Our investment philosophy is driven by two key factors:
- Impact and adding value for investors.
- Creating a triple bottom line return (Profit, People, Planet).
Our investment decisions are informed by empirical data analysis, diversity of thought and exchange of ideas which form the cornerstones of our investment culture.
Environmental, Social and Governance (ESG) considerations are important to us as a firm.
We believe that selecting investments whilst considering the impact they have on our environment and society is not only the right and sensible thing to do because we care about the environment and people, whilst we ensure the longevity of our business and our ability to perform for our investors.
We do not compromise profit for impact. Both objectives can be achieved through thorough understanding, problem solving and creativity.
Our portfolio management experts are critical, independent thinkers who benefit from being part of a diverse investment team, composed of financial professionals with diverse perspectives on markets, economies, cultures and strategies.
Clients benefit from the intellectual capital of our company in all investment disciplines.
We encourage the free exchange of ideas and innovation to gain insights and a competitive edge that may otherwise go undetected.
Diversification helps us address uncertainty by investing across a number of different asset classes.
In order to maximize our performance potential, our managers actively monitor the mix of assets they hold to reflect the prevailing market conditions.
Our approach to risk is rooted in active management, which allows us to proactively monitor activity, and market changes as well as anticipate future trends.
Far from being passive investors, we utilize our leadership to build and drive strong governance, management, and technology.