Our commitment to our clients is built on a foundation of strong governance and driven by three equal and essential attributes.
Proactive, highly experienced OCIO team
Exceptionally broad resources and capabilities
Continual innovation and evolution of solutions
Expert knowledge of markets, economies and investments
Robust, multi-faceted research
Open architecture approach
Dedicated OCIO trading and implementation
Private market expertise and relationships
Culture of risk management excellence
Holistic assessment of client portfolio and enterprise risks
True Open Architecture
We are able to work with whatever managers and vehicles you currently have in your plans. We have built deep relationships with managers across the universe of public and private asset classes. If we don’t already cover a specific manager in your portfolio, we will initiate research on that manager.
Alternative asset classes are valuable sources of alpha and diversification—while also adding complexity in terms of managing risk and liquidity. Our team’s significant experience allows our clients to optimize their use of alternatives on both a strategic and tactical level.
Coordination of Multiple Plans
We have experience working with complex situations and are able to provide recommendations on how to operate more efficiently and when sub-plans should be consolidated. We focus on assessing risk at the total client relationship level and managing that risk through strategic allocations and tactical portfolio decisions.
As a leader in socially responsible investing, we are able to create customized portfolios that are designed to reflect each client’s unique priorities without compromising long-term returns.
Oversight of Service Providers
Our clients often use a complex web of outside service providers. Serving as an extension of your staff, we provide oversight of your third-party partners and ensure that they follow best practices.
Robust, Comprehensive Reporting
We provide reporting that goes beyond simply showing performance by manager or asset class. Instead, we create customized reports for our clients that show risk, asset allocation, and consolidated performance.
This information is for informational purposes only, not to be construed as investment advice or a recommendation or offer to buy or sell any security. Investors should always obtain and read an up-to-date investment services description or prospectus before deciding whether to appoint an investment manager or to invest in a fund. Any views expressed herein are those of the author(s), are based on available information, and are subject to change without notice. Individual portfolio management teams may hold different views and may make different investment decisions for different clients. There are no guarantees regarding the achievement of investment objectives, target returns, portfolio construction, allocations or measurements such as alpha, tracking error, stock weightings and other information ratios. The views and strategies described may not be suitable for all investors. SSGA does not provide tax or legal advice. Prospective investors should consult with a tax or legal advisor before making any investment decision. Investing entails risks and there can be no assurance that SSGA will achieve profits or avoid incurring losses.
Performance quoted represents past performance, which is no guarantee of future results. Investment return and principal value will fluctuate, so you may have a gain or loss when shares are sold. Current performance may be higher or lower than that quoted.
Images of NYSE Group, Inc. are used with permission of NYSE Group, Inc. Neither NYSE Group, Inc. nor its affiliated companies sponsor, approve of or endorse the contents of this program. Neither NYSE Group, Inc. nor its affiliated companies recommend or make any representation as to possible benefits from any securities or investments.