Collective Investment Funds
Strategies' investment philosophy is rooted in financial academia, including modern portfolio theory, and based on fundamental principles such as the efficient market hypothesis and asset allocation as the key determinant of portfolio risk and return. In accordance with these principles, Strategies has constructed collective investment target date funds to support the following:

  • Enhanced diversification from a core & explore allocation
  • Low cost, non proprietary manager of managers
  • High absolute and risk adjusted return figures
  • Broad asset class and limited manager exposure
  • QDIA compliance under the Pension Protection Act.

For more information, please send an email to info@strategies-llc.net