|
The breadth of our investment offerings allows us to engineer powerful investment solutions for institutional investors of all sizes and with very different investment objectives. Our equity, fixed-income and cash strategies can be accessed through pooled investment vehicles or through separately managed accounts, which we can customize to the specific risk/return objectives of our clients.
While our investment strategies extend across asset classes and investment styles, they share a common foundation: strong proprietary research and the disciplined application of well-articulated investment processes. Our centralized research groups support the firm's product teams by generating thematic investment ideas, while also helping to isolate individual securities they believe offer attractive risk/return characteristics.
Armed with the output from our research platform, Columbia Management's experienced portfolio managers conduct bottom-up security selection within the parameters of rigorous investment processes. These processes incorporate sophisticated risk models and other tools designed to help us deliver strong, repeatable investment results, irrespective of the investment environment. |