Balance Sheet and Liquidity Management
Balance Sheet and Liquidity Management
The Balance Sheet and Liquidity Management team is foundational to HOOPP’s investment operations, ensuring the Fund always has the cash and funding it needs to pay pensions, manage risk, and support all other investment activities.
Our team focuses on managing HOOPP’s balance sheet (i.e., our assets and liabilities) and liquidity, while seeking to generate returns in two primary ways:
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What sets us apart
Analytical insights
We contribute to the Fund’s performance through investment strategies grounded in rigorous research and disciplined analysis. Our insights help identify opportunities, manage risk and support long-term value creation.
Deep technical expertise
Our team of investment specialists brings extensive experience and strong industry relationships. We respond decisively to changing market conditions while safeguarding the Fund’s long-term stability and success.
Perspective
The world we invest in is evolving rapidly. This environment requires an investment approach that is resilient, opportunity-focused and adaptable as market conditions change.
Meet HOOPP’s investment leaders
Learn more about our in-house investment experts who work collaboratively to deliver retirement security to our members, today and into the future.
This document provides a simplified overview of HOOPP's benefits based on the terms of the HOOPP Plan Text at the time of publication. From time to time, HOOPP may amend the HOOPP Plan Text. In cases where the information provided in this document differs from that contained in the HOOPP Plan Text, the HOOPP Plan Text will govern. More details, including the full HOOPP Plan Text and a complete description of the Plan and its benefits, can be found on hoopp.com.
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