|
United States
|
| Expertise in Alternative Assets |
We believe that Hewitt Investment Group brings a fresh perspective to
the topic of alternative investments. As informed skeptics,
we place a high burden of proof on any manager (or asset class) that
our clients consider for investment. We focus on the practical risks
to defined benefit plans, and critically evaluate the nature (i.e.,
diversifier versus total return) of each alternative asset class for
your investment program. In determining the optimal allocation for
alternative and illiquid investments, Hewitt Investment Group believes
that total equity exposure is the most important variable. That is,
your allocation to alternative asset classes should be proportionate
to your total equity allocation.
Special Report – Hedge Fund Questions and Answers
|
 |