The AJF Sustainable Asset Management Portfolio seeks to produce positive risk-adjusted returns over a long-term time horizon. Proprietary top-down and bottom-up analyses converge to create an adaptive asset allocation model designed to diversify the portfolio across asset classes to capitalize on an ever changing global investment landscape. Constant attention is given to the current path of the economic cycle, global capital flows and identifying innovative business models whose products and services will change the way people conduct their lives in the future. When integrated with an overlay of Environmental, Social and Governance screening criteria and an active shareholder engagement process, the Sustainable Asset Management Platform provides an additional layer of due diligence resulting in a robust risk-managed portfolio.