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EAFE + Canada Managed Volatility Equity

Risk Reduction | Managed Volatility

Acadian Asset Management’s EAFE + Canada Managed Volatility Equity strategy seeks to provide institutional clients with the opportunity to capture returns similar to that of a global ex US equity index, but with significantly lower absolute volatility and superior downside protection over the long term. Limiting absolute risk has the potential to allow investors to compound wealth more efficiently and steadily than traditional capitalization weighted indices.

Strategy Profile