About Us

How we work

Step 1

Ascertain the Fund’s objective based on its claims experience and liability profile

Step 2

Perform a robust asset-liability modelling process using systems developed on Matlab

Step 3

Model economic variables such as inflation, interest rates, monetary policy and growth forecasts

Step 4

Model asset class returns using stochastic methods

Step 5

Develop an appropriate investment strategy (asset allocation and portfolio structure)

Step 6

Select the most suitable asset managers

Step 7

Review and performance analysis