|We're building on over 30 years of experience in systematic, multi-factor investing and risk assessment to provide clients with sources of absolute, uncorrelated return across a wide range of asset classes.|
Acadian MAARS: Distinguishing Features
Acadian’s Multi-Asset Absolute Return Strategy (MAARS) is a systematic global macro strategy designed to generate absolute returns regardless of market conditions. A defining tenet of the underlying investment philosophy is that the challenge of delivering on that objective – finding and extracting truly diverse sources of return and constructing portfolios that can endure severe market stress – requires a sophisticated investment process and ongoing commitment to its continual enhancement. It is unrealistic to expect simple and static approaches to deliver enduring alpha.Read More Our Process
Quick TakesRecent insights on the market environment.
Re-examining Diversification: 20/20 Perspective
Volatility Investing: Characteristics of a Well-Conceived Approach
Gold in Crisis?
The Observation Deck
Systematic Investing Amid Covid-19: Three Lessons to Consider
The Case for Multi-Asset Investing
Business Insider: ‘New Ideas Shaking Up the Hedge Fund Game’
From the Archives
Early Signs of a Weakening U.S. Dollar? Drivers and Implications
Acadian Asset Management Launches Multi-Asset Class Strategy
Multi-Asset Global Developed Equity Forecast Model—A Shift to Neutral
Looking for more information on our Multi-Asset Class approach? Let us know and we'll help you find it!