We are a discretionary fund manager, focussed on absolute return and long-only investment strategies across asset classes, sectors and geographies.
Founded in 1995, GLG is a well established discretionary, multi-product global investment manager based in London, also having investment teams in New York, Hong Kong and Zurich1
. We manage USD 30.2 bn2
for corporate pension funds, endowments, Sovereign Wealth funds, Fund of Funds, family offices, private banks, other institutions as well as high net worth individuals from around the world.
GLG’s 131 investment professionals2
are entirely focussed on delivering high quality investment strategies for our clients, as well as aiming to preserve their capital. Three significant components that contribute to this dual objective are a strong focus on risk management, the robust operational infrastructure of our parent Man Group and the ability of our investment teams to enhance skills and express conviction in a collegiate environment.
Our absolute return strategies aim to generate consistent returns over the full business cycle, commensurate with the risk assumed in each of the portfolios. Similarly, our index outperformance strategies aim to generate persistent returns relative to their benchmarks.
We offer a product range that covers a variety of absolute return and index outperformance strategies across a range of asset classes and geographies. We only manage investment strategies where we have demonstrable expertise:
- Credit and convertibles
- Fixed income
and across a variety of geographies including:
- North America
- Global Emerging Markets