Specifications include, but are not limited to: A. Analyze the Trust to determine its financial condition, analyze alternative asset mixes to determine their effect on the Trust over alternative planning horizons, and advise the Board regarding the adoption of an appropriate investment policy statement that would determine the appropriate investment structure in light of the current and projected financial characteristics of the Trust. Recommend revisions to the investment policy statement as necessary. B. Manage the strategic asset allocation of the OPEB Trust in accordance with agreed upon target ranges and rebalancing policies adopted by the Board. C. Select investments and/or Investment Fund Managers and perform an ongoing analytical review of investment options. E. Review and implement prospective alternate asset classes and alternate investment vehicles as appropriate. F. Advise on prospective alternate asset classes and alternate investment vehicles as appropriate. G. Rebalance the portfolio to maintain asset allocation and/or to provide liquidity for cash needs or benefit payments.