GLC Asset Management Group Ltd.
GLC Asset Management Group is a leading investment manager in Canada. It manages $30 billion in assets* and provides strong investment management for Canadian investors through its three distinct investment management divisions:
- GWL Investment Management (GWLIM)
- London Capital Management
- Laketon Investment Management
These 3 investment management divisions have come together to form GLC with a single goal: to provide clients with superior, long-term investment performance.
GLC offers traditional and specialty investment mandates, as well as major investment styles, to some of the largest corporations, pension plans and endowments in the country, as well as families and business owners.
GLC is the Canadian asset management subsidiary of The Great-West Life Assurance Company. Find out more about GLC at www.glc-amgroup.com.
Investment management divisions and styles
GWLIM is a top-down, growth-oriented, all-cap manager that focuses on broadly-based economic trends. Its key investment professionals have worked closely together for more than a decade. Together, they provide experience, knowledge and technical expertise, taking advantage of current economic and market conditions to seek out attractive growth prospects.
London Capital has a distinct growth-at-a-reasonable-price investment style that capitalizes on the risk and reward relationship between price and earnings growth. Using proprietary research and a blend of quantitative and fundamental analysis, its portfolio management process is proven and objective, and does not waver with market hype.
Laketon offers focused, large-cap mandates with unique growth and value expertise designed to generate strong performance. Laketon employs a bottom-up investment approach that combines qualitative and quantitative inputs. Investors benefit from hand-picked securities held with conviction about the growth opportunities they present. Its disciplined and market-tested selection and investment processes help achieve the best balance between return potential and risk.
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