In order to achieve client objectives, GFG’s Investment Management business is structured to maximize the following competitive advantages:
GFG is committed to attracting and retaining exceptional investment professionals who are distinguished by their expertise, experience and disciplined investment processes. Our team possesses deep domain knowledge of a wide variety of investment approaches, industries, sectors, security types and regional economies.
Cooperative Investment Approach
GFG’s business model is designed to cultivate differentiated investment opportunities, foster the sharing of expertise and ingrain a cooperative, team-oriented approach. These priorities allow our investment team to leverage GFG’s broader intellectual capital and network of relationships to gain unique perspectives on markets, industries and companies.
Rigorous Investment and Risk Management
Investment risk management and capital preservation are important elements of GFG’s investment approach. We recognise that in increasingly complex investment markets operational deficiencies may pose significant risks to investors. As such, GFG supports its Investment Management business with a platform managed by highly-qualified professionals in trading, operations, client service and compliance.
Alignment of Interest
GFG seeks to minimize conflicts of interest which are common to several other organisations. GFG’s and strategic investor capital is invested in the firm’s investment vehicles in order to align the interests of GFG and its clients.