
Liquidity
An integrated investment approach to liquidity management
Why L&G for liquidity and cash management?
At L&G, liquidity management is a strategic part of our asset management capability. We partner with our clients for the long term, providing access to our global investment platform which includes short-term money market and bond funds, as well as bespoke managed accounts.
Fund Information
Sales and relationship contacts
Speak to a member of our dedicated team for more information on the L&G liquidity and cash management capability.



Investment approach
We have an experienced portfolio management team and a process which draws on L&G's broader investment capability.
For the L&G Liquidity Funds, the macroeconomic outlook provides an anchor for portfolio construction. Fundamental credit research, focused on the evolution of credit quality, defines the permitted issuer universe, while investment and operational risk oversight ensures alignment with portfolio objectives.

Get in touch

Contact the liquidity team
Reach the liquidity team directly using this form
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Key risks
The value of any investment and any income taken from it is not guaranteed and can go down as well as up, and investors may get back less than the amount originally invested. The risks associated with each fund or investment strategy should be read and understood before making any investment decisions. Further information on the risks of investing is available from L&G's Fund Centres.
While L&G has integrated Environmental, Social, and Governance (ESG) considerations into its investment decision-making and stewardship practices, this does not guarantee the achievement of responsible investing goals within funds that do not include specific ESG goals within their objectives.



