This site is best viewed with a newer browser. Please download your favorite for a better browsing experience: Google Chrome, Firefox or Internet Explorer.

Boutiques and Capabilities

With more than 160 years of investment experience, Old Mutual has the expertise to manage your clients’ money, regardless of what markets are doing.

Locally, we tap into the Old Mutual Investment Group SA’s (OMIGSA’s) investment experience and range of focused boutiques to bring you investment excellence.

Globally, we leverage off Old Mutual’s international reach and tap into the skill of Old Mutual Asset Managers UK.

Old Mutual Asset Managers UK

When it comes to managing international funds, we tap into Old Mutual’s global reach through Old Mutual Asset Managers UK. They manage Old Mutual Global Equity Fund, Old Mutual Global Bond Feeder Fund and Old Mutual International Growth Fund of Funds.

OMIGSA Boutiques

Absolute Return Investments

Through blending sophisticated risk protection techniques and investments with specific return characteristics, we build portfolios that target consistent inflation-beating returns.

Alternative Investments

Our team of experts finds and close deals to invest in private equity, infrastructure, developmental and environmental assets and mezzanine debt, aiming to deliver exceptional, uncorrelated long-term returns to investors.

Community Growth Funds

Community Growth Management Company (Comanco), jointly owned by Unity Incorporation and OMIGSA, manages the Community Growth funds. We aim to generate consistent returns using a long-term investment view as our central methodology, while integrating social and environmental values into the investment process.

Dibanisa Fund Managers

Our tracker and tracker-plus capabilities focus on providing investors with cost effective, efficient access to many markets and asset classes via our technology-dominated index tracking methodology.

Electus

Highly focused, fundamentally-based share selectors, we construct high-conviction, concentrated portfolios of shares with the potential for high returns over the long term.

Futuregrowth Asset Management

We use our insights and experience in understanding the drivers of interest rate and credit cycles to create performance-driven portfolios in the fixed income markets.

Global Index Trackers

Our tracker and tracker-plus capabilities focus on providing investors with cost-effective, efficient access to the markets via our technology-dominated methodology.

Equity Research

Our rigorous analytical processes and sophisticated systems lend the OMIGSA boutiques the competitive advantage and enable critical insights through access to our in-depth proprietary research.

Liability Driven Investments

We aim to manage assets relative to their liability to ensure a stable, consistent surplus over time. This is achieved through the use of two distinct components, namely risk-protection and return-seeking investment strategies.

Long Term Equity

Our equity portfolios, comprised of superior companies that are chosen through our disciplined, well-researched investment process and held for long periods, are ideal solutions for investors with long-term return requirements.

Macro Strategy Investments

We build local and global multi-asset class portfolios, using active asset allocation that offers optimal investment solutions across the risk/return spectrum.

Marriott Income Specialists

We invest retired investors' capital conservatively to ensure that a reliable, predictable income is produced without eroding the capital base.

Property

We build innovative real estate investment solutions that deliver reliable, predictable and growing income streams. These solutions provide investors with access to the most prestigious commercial properties in South Africa.

Quantitative Investments

We construct equity portfolios that aim to deliver consistent outperformance using a quantitative approach that is repeatable, objective and scalable, and can be applied to a variety of client strategies.

Specialised Finance

We develop sophisticated risk management and return-enhancing solutions through risk management and analysis, financial engineering and asset origination.

SYmmETRY Multi-Manager

We find the asset managers in the market that are great at what they do, combine them and build multi-manager portfolios that deliver on and exceed investor objectives and expectations.

Toros Equity

We construct well diversified, risk-controlled portfolios of shares that aim to deliver consistent, incremental outperformance over a chosen benchmark.

Value Equity Investments

We are contrarian investors: buying out-of-favour shares that are not reflective of their intrinsic values and seeking selling opportunities where shares have moved too strongly onto the radar screens of other fund managers.

Other Sites
go
loading