Galliard is the largest manager of stable value assets in the nation1.
Stable Value philosophy
Galliard’s stable value portfolios are managed with a conservative approach, while maintaining high quality and broad diversification through a disciplined value investing process and an emphasis on risk control. For more than 28 years, this approach has resulted in consistent long-term outperformance of our benchmarks, while minimizing volatility of the crediting rate.
Stable Value strategies
- Separate Accounts
- Collective Funds
Why Choose Galliard for your stable value solutions?
- PERFORMANCE—demonstrated history of consistent, long-term benchmark outperformance
- TEAM—28+ years of stable value product innovation and thought leadership, with one of the most tenured stable value teams in the nation
- INTEGRATION—stable value and fixed income team integration creates product efficiencies, optimization, and innovation