GCI Asset Management’s Core Investment principle is diversifying investment risk through a Multi-Managed Approach. The Firm’s Investment Process and Philosophy is structured on investing clients’ funds with managers that have lowly correlated investment styles.
Through this inherent investment technique, GCI AM minimises clients risk and maximises returns. Our continuous development and research has resulted in us creating industry leading programs and systems, enhancing our manager selection process to be a true art in Multi-Managed Investing.
By following our meticulous Idea Generation, Manager Selection and Risk Management systems, We can assure our clients’ that their funds are managed with the utmost of care and precision to ensure Long Term Capital Growth and ultimately a Safe and Secure Retirement.