Thinking outside the benchmarks
As long-term investors, we look beyond day-to-day market shifts for underlying trends and macroeconomic themes to construct diversified portfolios. Our data-driven, probabilistic approach integrates qualitative and quantitative insights with proprietary forecasting tools.
Assessing risk and achieving client goals
Portfolios are designed to exhibit competitive risk-adjusted returns. We leverage a framework that incorporates active and passive strategies across dimensions of growth, value and quality.
We provide access to a broad array of asset classes across geographies. We adhere to a rigorous, ongoing due diligence regimen and actively curate our pipeline to managers who meet our investing standards.
Glenmede emphasizes risk management and a disciplined combination of fundamental research and proprietary quantitative multifactor modeling. We seek to create diversification across asset classes, strategies and managers.
For qualified investors, we offer differentiated solutions outside of the public markets, leveraging direct and fund-of-funds opportunities to meet your distinct investment objectives.
Fixed income management
Our multifaceted, long-term investment process uses in-depth analysis and risk management in pursuit of competitive risk-adjusted returns. By investing across the fixed income spectrum, we build diversified portfolios that can provide liquidity and capital preservation.
We develop personalized hedging and risk-mitigation strategies designed to dampen volatility and allow tax-efficient portfolio rebalancing and recalibration.
Expressing your values through sustainable and impact investing
If interested, we can act as a catalyst to align your investment portfolio with your values. Our approaches represent a spectrum of alternatives that include environmental, social and governance integrated, ESG mandated, thematic and concessionary high impact strategies. We provide our clients with the resources to help understand the impact measurement, impact reporting and shareholder engagement opportunities of their impact investments.