Specifications include, but are not limited to: 1. Attend and present at monthly Investment Committee meetings, as well as any other meeting as requested by the Board of Trustees. 2. Advise on the development, implementation and/or revision of investment policies and guidelines for the overall Fund, the private real estate allocation, the private energy / infrastructure allocation, and the hedge fund or other alternative investments allocation. 3. Provide annual capital markets and asset allocation reviews and recommendations, including annual reports of general economic conditions and forecasts of interest rates, inflation, and risk and returns for all asset classes. 4. Advise on portfolio structure (e.g.: active vs. passive, investment style mix). 5. Provide risk management at the overall Fund level. 6. Provide manager attribution analysis for the Plan and identify areas of strength / weakness in the target asset allocation. 7. Analyze and advise on the capabilities of public equity and fixed income investment managers including full due diligence reports for manager searches. 8. In conjunction with the Board’s staff, periodically review the performance of investment managers through various methods, including interviews and on-site visits. 9. Provide research and reports on various investment topics, and provide educational presentations to the Board or Staff as requested. 10. Conduct and/or assist in manager searches and selections within the public markets asset classes.