Acadian

Est. 1986
201-500 employees Financial Services

About Acadian

Acadian Asset Management is a global, systematic investment manager. Founded in 1986, Acadian is head-quartered in Boston, with affiliates in London, Singapore, and Sydney. We find our edge in the convergence of talented people, rich data, and powerful tools – all underpinned by a collegial culture with an ardent appetite for continuous research and healthy debate.

Building on the idea that markets are inefficient, we were among the first firms in the world to apply data and technology to the systematic evaluation of global investments. With over 35 years of data-driven insights, we manage equity and credit strategies intended to deliver active returns and alternative strategies designed to deliver absolute, uncorrelated results. Our sustainable investing capabilities provide a platform for both client-specific solutions and a cutting-edge approach to engagement.

DISCLOSURE: Acadian Asset Management is not responsible for the content provided on any linked external site and makes no warranties, express or implied, for the accuracy of any content or use of a third-party website and assumes no liability for any errors, inaccuracies, or omissions for third-party website content. While Acadian is providing a link to a third-party website, Acadian does not control, approve, or endorse the website or any of its contents, its sponsor, or any of the policies, activities, products, or services offered on the site or by any advertiser on the site.

Expertise

active equity, low volatility, multi-asset investment, ESG, Responsible Investing, quantitative investing, global macro, systematic investing, alternatives, systematic credit, extension strategies, and sustainable investing

54 results found

Credit’s Systematic Shift
  • 10 Jun 2026

Quick Take: The New Challenge – Funding Ideas, Not Finding Them
  • 09 Jun 2026

The whirlwind is upon us
  • 09 Jun 2026

A pessimistic take on optimistic growth forecasts
  • 02 Jun 2026

Quick Take: China A-Shares – Analysts Move On, Mispricings Remain
  • 19 May 2026

Quick Take: U.S. Equities – Ten Out of G-10
  • 01 Nov 2025

World Equity Allocations: Global in Name Only?
  • 01 Nov 2025

Quick Take: Where in the World Are Underfollowed Stocks?
  • 01 Oct 2025

Chris joined Acadian in 2023 and is a Portfolio Manager on the Equity Team. Before joining Acadian, Chris served as a founding partner, head of investments, and portfolio manager at AJOVista LLC. P...

Leverage, an Essential Tool: Using the full set of portfolio characteristics to create investments
  • 01 Sep 2025

Quick Take: Junk Rallies Not Built to Last
  • 01 Aug 2025

Quick Take: Junk Rallies, Not Built to Last
  • 01 Aug 2025

Quick Take: Market timing is difficult – credit is no exception!
  • 01 Aug 2025

In an Unsteady World, Time to (Finally) Tilt Away from U.S. Equities?
  • 01 Jul 2025

Quick Take: Frontier Equities – Hiding in Plain Sight
  • 01 Jul 2025

Quick Take Market Uncertainty and the Trading Environment v2
  • 01 Jul 2025

A Compelling Middle Ground: The Enhanced Equity Advantage
  • 01 May 2025

Quick Take: Diversification Matters (Finally)
  • 01 May 2025

Mark joined Acadian in 2017 and is a member of the Managed Volatility Team. Prior to Acadian, he was a portfolio manager and director with Allianz Global Investors, where he managed and conducted r...

Quick Take: Has Quality Changed Its Stripes?
  • 01 May 2025

Choosing to Lose: Country Misallocation in Discretionary EM Investing
  • 01 Apr 2025

Seth is Acadian’s Director of Client Advisory, a team that produces original research on topical issues in systematic investing and regularly meets with key clients, consultants, and prospects. Set...

Quick Take: Market Uncertainty and the Trading Environment
  • 01 Apr 2025

Seth is Acadian’s Director of Client Advisory, a team that produces original research on topical issues in systematic investing and regularly meets with key clients, consultants, and prospects. Set...