Portfolio Management
Portfolio Management for UCITS and AIF Structures
A controlled and documented investment process across liquid and illiquid strategies, from decision-making and implementation to transaction oversight and ongoing portfolio monitoring.
Service overview
A clear investment process from decision to monitoring
FundSight’s Portfolio Management function is responsible for investment decisions and the implementation of approved strategies for funds under management.
Portfolio activity is carried out in accordance with the fund’s investment objectives, documentation, applicable restrictions and the Management Company’s governance framework.
Portfolio Management operates as one department with two specialised capabilities: Liquid Strategies and Illiquid Strategies.
The function maintains a documented decision trail and works closely with Risk Management, Compliance, Fund Administration and the Depositary throughout the investment process.
Our scope
Four stages of portfolio management
A simple and traceable process covering the full sequence from the initial decision to ongoing portfolio monitoring.
Investment Decision-Making
Review, approval and documentation of investment decisions in line with the fund’s mandate, objectives and governance requirements.
Strategy Implementation
Translation of the approved strategy into clear portfolio instructions within the applicable limits and constraints.
Transaction Oversight
Verification of consistency between the investment decision, transaction instruction and executed transaction, with exceptions followed up and documented.
Portfolio Monitoring
Ongoing review of portfolio activity, restrictions and material developments, supported by clear escalation and an auditable record.
Specialised capabilities
One decision framework. Two strategy capabilities.
Select a strategy to view the specific portfolio-management, transaction and lifecycle controls applied by FundSight.
Liquid strategies
Listed instruments and market-driven portfolios
Portfolio construction and ongoing management across equities, bonds, money-market instruments and financial derivatives, within the approved strategy, liquidity profile and applicable regulatory or contractual limits.
Allocation and rebalancing
Portfolio positioning and adjustments remain aligned with the approved investment strategy and liquidity profile.
Exposures and risk drivers
Continuous review of market conditions, portfolio exposures, risk drivers and applicable investment limits.
Decision-to-trade consistency
Verification that the approved investment decision, order instruction and executed transaction remain consistent.
Portfolio Monitoring
Ongoing review of portfolio activity, restrictions and material developments, supported by clear escalation and an auditable record.
Illiquid strategies
Private-market and real-asset portfolios
Review and management of investments in private equity, private debt, real assets and similar strategies, coordinated with Investment Advisers and external parties where applicable.
Entry, follow-on and exit decisions
Review and approval of initial investments, follow-on investments and divestments.
Strategy and portfolio constraints
Assessment against return objectives, concentration, duration, liquidity considerations and the approved investment strategy.
Assets and cash flows
Holding-period monitoring covering transaction execution, capital calls, drawdowns, distributions and material developments.
Inputs and assumptions
Review and challenge of relevant valuation inputs and assumptions. Portfolio Management does not perform the valuation calculation.
How we operate
Clear ownership, coordinated execution and documented control
Clear decision responsibility
Investment decisions and recommendations are reviewed, approved and documented through a defined governance process.
Connected control functions
Portfolio Management coordinates with Risk, Compliance, Fund Administration and the Depositary to support consistent execution and escalation.
Complete and auditable records
Decisions, instructions, exceptions and follow-up actions are recorded to provide a clear trail for governance, audit and regulatory review.
Documented decisions. Controlled execution.
FundSight combines clear investment ownership, structured implementation, transaction oversight and ongoing monitoring within one coherent portfolio management framework.
Client value
A simpler and more transparent investment process
Clear ownership of investment decisions and recommendations.
Consistent governance across liquid and illiquid strategies.
Consistent documentation supporting Boards, auditors, depositaries and regulators.
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Looking for a Portfolio Management ManCo partner?
Speak with FundSight about your liquid or illiquid strategy, governance framework, transaction process and ongoing portfolio monitoring requirements.
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