The D. E. Shaw Group is a global investment manager specializing in quantitative investing, fundamental analysis, and portfolio manager discretion. It employs a combination of quantitative and qualitative tools to uncover independent sources of return across global public and private markets. The firm identifies statistically robust market inefficiencies through hypothesis formulation, testing, and validation based on practical knowledge of markets and advanced computational methods.
2003 - 2009
1988 - 2001
1992 - 2000
1998 - 1999
1993 - 1996
Systematic Strategies
Hybrid Strategies
Discretionary Strategies
Assets under management: $55 billion (as of December 1, 2020)