QMA is a pioneer of quantitative investing. It provides equity and dynamic asset allocation strategies to help meet a wide range of investment objectives. The firm manages systematic quantitative equity, global multi-asset strategies, and client solutions. and targets superior risk-adjusted returns by combining research-driven quantitative processes built on economic and behavioral foundations with judgment from experienced market practitioners.
2017 - present
2008 - present
2020 - present
2012 - present
2019 - 2024
Active investment process utilizes carefully constructed factors to efficiently translate risk to return. It offers a wide variety of styles and investment approaches.
As the multi-asset specialist of PGIM, QMA is uniquely positioned to provide full-scale investment solutions. Customized options help solve clients’ sophisticated challenges.
QMAW seeks to generate superior absolute return performance with a focus on risk mitigation. It continually seeks to improve investment strategies through ongoing research into the latest market insights.Â
Assets under management: $119 billion (as of March 31, 2021)