A total fund approach
Our investing approach broadly balances investment risk and return by effectively allocating capital across asset classes and departments, managing volatility and spurring innovation.
Our investing approach broadly balances investment risk and return by effectively allocating capital across asset classes and departments, managing volatility and spurring innovation.
Provides efficient trading across asset classes, manages the asset mix to achieve the targeted allocations and generates differentiated returns through a variety of alternative investment strategies.
Captures opportunities across the public and private markets with a focus on core, strategic holdings, and special situations.
Invests globally in infrastructure and natural resource assets that generate attractive risk-adjusted returns through the investment cycle.
Investor in best-in-class office, retail, multi-family residential, industrial, and mixed-use properties globally.
Late-stage venture and growth equity investments in companies that use technology to innovate and create new sectors.