European Managed Volatility Equity Broad Profile

Published: 8/24/2017

Acadian Asset Management’s European Managed Volatility Equity Broad strategy seeks to provide institutional clients with the opportunity to capture returns similar to that of a European markets equities index, 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.