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Acadian Asset Management is a global investment management firm that specializes in systematic investment strategies.
Each model independently rates Acadian Asset Management on a 1–5 star scale.
Acadian Asset Management is a well-established quantitative investment firm founded in 1986, managing significant AUM with systematic strategies. SEC-registered and generally well-regarded in institutional investment circles.
Acadian Asset Management is a well-established global investment firm with a strong reputation in systematic strategies. Scores reflect industry standards and general trust in asset management firms.
Acadian Asset Management is a global investment firm known for systematic strategies. While established, specific details on trading, support, and public reputation are limited, leading to moderate scores. Regulation appears standard for its industry.
Established global quantitative asset manager with decades-long track record. SEC-registered and regulated in multiple jurisdictions, with institutional-grade processes and disclosures. Generally positive reputation and client service; fees/products aimed at institutions.
Established global quant asset manager with institutional focus and regulatory oversight. Limited public retail reviews; scores reflect conservative assessment of known reputation and sector standards.
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Acadian Asset Management is rated 3.8 out of 5 (“Great”) on TrustRating, based on 5 independent AI model assessments. The TrustScore combines real customer reviews with AI models that independently assess trust, regulation, support and reputation signals. Always do your own research before making a purchase or investment.
Acadian Asset Management currently has a TrustScore of 3.8 out of 5 (“Great”). The score blends verified customer reviews with assessments from multiple independent AI models, and it updates automatically as new reviews and scans come in. You can read exactly how scores are computed on our methodology page.
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