Strategic Development Fund
Develop long-term growth by capital by investing in U.S. based companies and their stocks seeking to develop their stock worth and growth potential.
Glazier Sovereign Wealth Fund (GSWF) is a specialized portfolio of sovereign wealth fund resources, reserves, and the commodities that derive such assets. Our Strategic Development Fund (SDF) focuses on nations with high variance in public revenues to ensure sustainable cash flow levels via long-term investments.
We are guided by the principles of global macro economic development and only invest in countries in which we have a deep passion and pulse on their public policies and economic development needs. We are bullish on long-term maximization of returns and do not invest in short-term, quasi- attractive opportunities without detailed analysis and quant modeling.
By leveraging our theses development across other Glazier firms, we entrust our Sovereign Wealth Management with the same principles: we invest in best in class people, we pioneer new asset classes, we compartmentalize to manage risk, and in macroeconomic causes we know how to mitigate.
We support countries and nations overcoming hurdles such as inflation and exchange rate overvaluation through strategic acquisitions, private equity purchases, and public firm’ structured equity positions as they relate to each country’s long-term industry development strategy.
As technology innovators, we are adamant about using software to monitor our long-term investments that convey our pool sizes, investment strategies, and specific investments beyond the hype - we are policy-conscious and support those that are as data-driven as we are for optimal investment returns. We will be the first company to develop cloud-based automation around long-term goals with short-term benchmarking.
By merging both quantitative metrics with the qualitative prowess of our team’s macro and micro economic outlook of each country’s development strategies, we are able to develop a predictive model for future growth. Glazier Sovereign Wealth Funds are the first investment group to take on a technology-first approach to performance-seeking portfolio development that not only enables macro risk-adjusted monitoring and liability-hedging but also first in class dynamic-liability asset management across sovereign investments.
Glazier Investments are not FDIC-insured; no investment is guaranteed by a financial entity and principal investments may be lost. Investors are solely responsible for their investment with one or more of Glazier funds. Each individual should carefully review all fund prospectuses, summaries, reports, statements, and policies; use of a financial professional or asset manager is also encouraged.
Emerging Market Funds are best suited for contrarian investors that can withstand volatility and risk related to political instability, currency fluctuation, commodities price variation, international finance securities regulations, periodic or temporary states of illiquidity, and other risks related to developing markets.
Performance benchmarks are proprietary; comparative indexes do not reflect accurate performance of each fund, portfolio, or investment. Index returns are limited to conveying capital gains and income generation dividends; index returns do not convey transaction or banking fees, trading/brokerage commissions, or other related expenses. No investor is able to make direct contributions to an index.
Glazier Group manages assets through three investment groups: Glazier Advisors, Glazier Investments, and Glazier Ventures. Each firm makes investments and proxy decisions independently of each other. While there is overlap between financial and investment professionals who provide research and asset management, all securities and equity considerations are done on behalf of each individual investment group and their portfolios.
All data is current as of February 15th, 2017 unless otherwise specified.
Fund inception: December 2016.
Returns are in USD.
Securities offered through Glazer Group, LLP. Glazier Mutual Funds are distributed through Glazier Securities Corporations.
Diversification across portfolios do not guarantee higher performance or decreased investment risk.
Investment objectives and performance of each fund, portfolio, and investment is not guaranteed.