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  • Our Balanced Plus Capabilities

Balanced Plus

As the investment environment has become more complex, old paradigms have had to change. Pension plans, endowments and foundations striving to meet their funding and spending goals have recognized the need to incorporate alternative investments into their asset mix.

Fund Snapshot: Balanced Plus Fund

Why TD Greystone Asset Management

TD Greystone was founded in 1988 by pension funds, for pension funds and like-minded investors. From the start, we have managed balanced portfolios and alternative asset classes. The Balanced Plus Fund brings together the full range of our expertise and our experience. This Fund offers a comprehensive portfolio strategy implemented with one manager, easing clients’ oversight burdens. We obtain additional yield enhancement and diversification through multiple fixed income strategies. We also include direct alternatives in the portfolio – through real estate, mortgages & infrastructure funds – for improved diversification, yield and risk-adjusted returns.

The Strategist<sup>®</sup> Autumn 2018

The Strategist® Autumn 2018

Our Autumn edition of The Strategist details our key thoughts across public and private asset classes as we analyze opportunities and risks within fixed income, equities, mortgages, real estate and infrastructure.

Read the autumn edition »

The information is that of Greystone as of Oct 31, 2018 or earlier. As of Nov 1, 2018, Greystone now operates as TD Greystone Asset Management.

Real Assets Market Report

Real Assets Market Report

The team recaps key takeaways from the Canadian real estate, mortgage and infrastructure markets over the third quarter of 2018.

Read the full Q3 market report »

The information is that of Greystone as of Oct 31, 2018 or earlier. As of Nov 1, 2018, Greystone now operates as TD Greystone Asset Management.


Active asset management delivers
superior rates of return.

An asset’s ability to generate
income creates value.

Diversification, including the use of direct alternatives, reduces risk and enhances returns.


When building the Balanced Plus Fund portfolio, we use a disciplined three-point process:

  1. Starting with macroeconomics, monetary and fiscal policy, and global political trends, we review recent performance and forecast potential rates of return and volatility for each asset class.
  2. Based on this assessment, we design a target portfolio with the optimal asset mix to capture those rates of return, keeping the Fund’s risk objectives in mind.
  3. We then implement from the bottom-up, using public and proprietary research and a disciplined selection process for trading the individual securities and private alternative assets in the portfolio.

As active managers, we continually challenge our assumptions using experienced insight to interpret the latest economic and market trends.

Looking for a Multi-asset Class Solution Investment Partner? inquiries@greystone.ca

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