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Acadian Asset Management (Australia)
Brokers in Sydney

www.acadian-asset.com
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Remember you found this company at Infoisinfo 2-9303779?

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Square, 264-278 George St. Sydney. Sydney, NSW, 2000.
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What you should know about Acadian Asset Management (Australia)

Investing in Sydney, Management in Sydney

We now donate over 60 strategies in global and regional equities, long brief equities and managed volatility. From research to portfolio management to client service, the investment team is responsible for managing a process that is highly collaborative and based on the scientific principles of begin inquiry, testing, analysis, peer review and tender execution. More recently, in 2006, based on research showing that a portfolio of low risk stocks has the potential to present market like returns at lower risk than the overall equity market, we launched our pioneering managed volatility strategy. Our commitment to research, the flexibility of our process and the collaborative nature of our client relationships suggests that Acadia's suite of strategies will have the potential to continue to grow and evolve in an effort to meet the needs of our clients. While accepting portfolio risk relative to expected return is of huge importance to portfolio managers, Acadia also manages risk in a more holistic sense. The open, collegian approach to research and portfolio strategy, and the immense value placed on the diverse backgrounds of our investment team members both aid mitigate group think within the firm. The objective of the research team is the alike as the firm as a whole: to provide the superior conceivable investment results for our clients. The majority of our research efforts, however, are internally sourced. The goal of Acadia's research process is to improve the expected performance of client portfolios through return enhancement, risk control and cost effective implementation and overall process enhancement. Changes must be consistent with our possible experience of markets and investor behavior, and must demonstrate sure performance in a different set of market environments. He continues to actively manage Acadia portfolios and direct research to enhance our approach, as he has since 1987. Employee survey responses accounted for 60 percent of an organization’s score and employer survey responses accounted for 40 percent. About Acadia Asset Management LC Acadia Asset Management LC invests on behalf of institutional investors such as pension funds, endowments, governments and foundations, as well as individual investors. The portfolio construction process uses systematic portfolio construction tools to regulate overall portfolio risk, as healthy as individual risk factors, in an effort to create portfolios with the optimal trade off between risk and expected return. Acadia's experienced and different investment team oversees a single core process that produces all portfolios and is not specific to anyone strategy and comprises four main groups: Portfolio Management, Research, Portfolio Construction and Trading, and Data Management. The Global Leveraged Market Unprejudiced strategy’s dedicated portfolio managers collaborate with these groups to deliver process enhancements, focused on the unique attributes of long brief strategies in the areas of return generation, risk management and portfolio construction. Acadia's managed volatility strategies focus on exploiting this mispricing and have the potential to permit investors to attain similar, or better, returns than capitalization weighted indicts with substantially below risk. Acadia’s managed volatility approach chooses the portfolio with the highest expected return among all of these low risk candidates, resulting in portfolios which we believe could attain a modest and consistent exposure to diverse return sources. Acadia's skill to understand, model, and forecast risk is of critical importance to a strategy focused on low risk stocks. Acadia’s managed volatility approach chooses the portfolio with the highest expected return among all of these candidate portfolios, resulting in a portfolio which we believe may achieve higher returns over time as a function of its exposure to our return forecasts. Acadia's portfolio construction process combines return forecasts with risk forecasts, transaction cost estimates and portfolio constraints. The managed volatility strategies' dedicated portfolio managers collaborate with these groups to deliver process enhancements focused on the unique attributes of managed volatility strategies in the areas of return generation, risk management and portfolio construction. Our managed volatility portfolios take the low volatility concept a step further by incorporating relentless exposure to Acadia’s return forecasts. Lowrisk stocks have offered a combination of relatively low risk and tall returns. We believe supporting diversity not only helps our employees develop as individuals, but makes Acadia a stronger company and a more rewarding place to labor for all.
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