The Vendor is required to provide investment consultant services for include:
- Operations
• Indicate whether your accounts are serviced by teams or by individual consultants.
• Indicate the average number and size of accounts per team or consultant.
• Indicate the largest number of accounts handled by one team or consultant.
• The entity’s ability to do prompt, comprehensive and accurate reporting
• Indicate the percentage of revenues derived from consulting services
• Any circumstances under which the entity or its employees receive fees from investment managers.
• Indicate whether the entity sells or brokers investment vehicles.
• Indicate whether the entity actively manages the investment of accounts.
• Indicate whether the entity accepts or pays referral or finder’s fees.
- Investment analysis approach
• The development of the client’s overall investment policy as well as investment policy for specific asset classes.
• The development of client investment objectives.
• The entity’s asset and liability modeling capability.
• The entity’s investment style analysis.
• Indicate whether the entity provides to its clients written narratives on the manager’s performance, portfolio restructuring, guideline discrepancies, style deviations, etc.
- Manager search and due diligence
• Indicate the number of money managers currently being evaluated.
• The due diligence of investment managers is performed.
• Hiring as well as terminating investment managers.
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