Acadian Asset Management
- Company typePublic
- Founded1986
- HeadquartersBoston, United States
- Headcount251–500
- GTM typeB2B
- OfferingServices
What Acadian Asset Management does
Acadian Asset Management Inc. (NYSE: AAMI) is a Boston-headquartered, pure-play systematic investment manager founded in 1986 and listed on the NYSE since the prior parent entity's 2014 IPO under a different corporate structure. The firm manages approximately $196 billion in assets under management as of March 31, 2026 (rising to $219 billion by April 30, 2026) through a 120+ person investment team that systematically analyzes 65,000 securities daily using proprietary quantitative models spanning portfolio construction, risk controls, and trading. Acadian serves institutional investors globally — pension funds, endowments, foundations, sovereign wealth funds — alongside sub-advisory and wealth channel clients, with global affiliate offices in London, Singapore, and Sydney.
The product portfolio centers on systematic equity strategies and has expanded into systematic credit (high yield corporate, investment grade corporate, credit long-short), alternatives, and a newly launched tax-aware long/short strategy for wealth distribution. Underlying capabilities are organized around a data-driven platform with a strong performance track record: 96% of strategies outperform their benchmarks across 3-, 5-, and 10-year periods. The Emerging Markets Equity UCITS Fund earned Gold at the 2026 FSA Fund Awards Singapore, and the firm was ranked No. 2 among Finance-Investment Management peers by Investor's Business Daily with a 96 SmartSelect Composite Rating.
Acadian's revenue model is anchored in recurring management fees charged on AUM, supplemented by performance fees on certain mandates. Q1 2026 revenue reached $165 million (up 39.6% year-over-year) with record quarterly management fees of $146.4 million in Q4 2025, driving ENI operating margin expansion of 978 basis points to 38.1%. The corporate transformation completed in 2024-2025 — divestiture of six non-core affiliates, $1.1B tender offer, rebrand from BrightSphere to Acadian, and ticker change from BSIG to AAMI — created a streamlined, focused manager now benefiting from nine consecutive quarters of net inflows and a 127% trailing-year stock price appreciation.
Acadian Asset Management firmographics
Firmographics- Name
- Acadian Asset Management
- Legal name
- Acadian Asset Management Inc.
- Website
- https://acadian-inc.com
- Company type
- Public
- Founded year
- 1986
- Operating status
- Operating
- Headcount range
- 251–500 employees
- Ownership category
- akta.pro rank
Acadian Asset Management industry classification
Industry- Product category
- Institutional Asset Management
- NAICS
- Portfolio Management and Investment Advice (523940), Portfolio Management and Investment Advice (52394)
- SIC
- Investment Advice (6282)
- akta.pro primary industry
- Quantitative/Systematic Equity (Active) (FSAAAIAL)
- akta.pro secondary industries
- Global Equity (Active) (FSAAAIAD), Emerging Markets Equity (Active) (FSAAAIAF), Sustainable/ESG Equity (Active) (FSAAAIAM), Large-Cap Equity (Active) (FSAAAIAA)
Keywords
Where Acadian Asset Management is headquartered
LocationHeadquarters
- HQ city
- Boston
- HQ country
- United States
- HQ region
- North America
Offices4 records
Markets served
Acadian Asset Management business model
Business model- GTM type
- B2B
- Offering type
- Services
- Cost components
- Personnel, Technology or R&D, Operations, Marketing or Sales, Infrastructure, Others
Revenue model
- Management Fees: Recurring management fees charged on assets under management, representing the primary revenue stream. Management fees rose 41% year-over-year in Q1 2026, with quarterly recurring management fees reaching a record $146.4 million in Q4 2025.
- Performance Fees: Performance-based fees from certain client mandates tied to investment performance outcomes.
Pricing tiers
| Model | Billing | Price |
|---|---|---|
| Subscription | Annual | Institutional asset management fees based on AUM percentage |
Go-to-market motion2 records
Distribution channels3 records
Marketing channels4 records
Acadian Asset Management product offering
Product offeringCore offering
Acadian Asset Management is a pure-play systematic investment manager that offers institutional investors access to a diversified array of systematic investment strategies spanning equities, credit, and alternatives. The firm applies quantitative models and proprietary data-driven analytics to evaluate approximately 65,000 securities daily, using portfolio construction, risk controls, and trading systems to generate alpha for pension funds, endowments, sovereign wealth funds, and wealth platforms globally.
Product overview
Acadian Asset Management is a pure-play systematic investment manager offering institutional, sub-advisory, and wealth clients access to a diversified array of systematic investment strategies. The core offering is its systematic investment platform which analyzes 65,000 securities daily to identify market inefficiencies. The portfolio includes core systematic equity strategies, systematic credit capabilities (high yield corporate, investment grade corporate, credit long-short), and a newly launched tax-aware long/short strategy. The Emerging Markets Equity UCITS Fund provides exposure to emerging markets. The firm serves clients globally through institutional, sub-advisory, and wealth distribution channels.
Differentiator
Problem solved
Functional benefit
Products and services
- Systematic Investment Strategies
Quantifiable outcome
- 61% year-over-year AUM growth to $196 billion
- +4 more outcomes
Companies that use Acadian Asset Management
Customer profileNamed customers1 record
Segments3 records
Ideal customer profiles3 records
Acadian Asset Management technology and API
TechnologyTechnology focussed No
API detail
- Has API
- No
- API docs
- API detail
Core technology
AI maturity
App detail
AI capability1 record
Feature3 records
Acadian Asset Management partnerships and signals
Strategic signalPartnerships
Four partnerships are on record, tiered minor and core.
- UNCFminorAcadian hosted the sixth annual HBCU Stock Pitch Competition at its Boston headquarters, where Florida A&M University won over $12,000 in prizes. Sponsors included Adage Capital Management, Wellington Management, Citi, and Fidelity Investments.
- St. James's PlacecoreSt. James's Place appointed Acadian as the new investment adviser for its £13bn Global Equity fund, renaming it to SJP Global Lower Carbon Equity Unit Trust. The fund shifted to an actively managed, systematic and quantitative investment approach with enhanced sustainability disclosures, delivering 16.9% total return in 2025 vs MSCI ACWI's 13.9%.
- Credit Edge PodcastminorAcadian's director of systematic credit Scott Richardson appeared on Credit Edge podcast to discuss expanding opportunities for systematic credit investing into leveraged loans, structured finance, and emerging markets.
- Harbor Capital AdvisorscoreAcadian serves as sub-advisor for Harbor International Core Fund, which returned 5.93% in Q4 2025, outperforming its benchmark MSCI EAFE Index. The fund is managed by Harbor Capital Advisors and offered through Harbor Funds.
Scale indicators7 records
Recent moves13 records
Expansion highlights5 records
Acadian Asset Management competitors and assessment
Company assessmentBroad incumbents
- Goldman Sachs Asset Management: Goldman Sachs Asset Management operates systematic and quantitative equity strategies (e.g., via the former Goldman Sachs Quantitative Equity Strategies group) at scale alongside its broader multi-asset franchise. A broad incumbent competing for institutional systematic mandates.
- State Street Global Advisors: State Street Global Advisors operates quantitative equity (QE) strategies as part of its broad asset management franchise, comparable in target market and methodology. A broad incumbent competing for institutional and sub-advisory mandates.
- Wellington Management: Wellington Management is a broad incumbent asset manager offering systematic strategies alongside traditional active management. Comparable as a partner sponsor for Acadian's HBCU Stock Pitch Competition and as a competitor for institutional mandates.
- BlackRock Inc. BlackRock is a broad incumbent that operates systematic equity and factor strategies (including via former BGI) at massive scale. While Acadian is a pure-play systematic specialist, BlackRock's systematic capabilities compete directly for institutional mandates and now also for systematic credit.
Direct peers
- AQR Capital Management: AQR is a direct peer — a large, multi-strategy systematic asset manager applying quantitative models across global equity, fixed income, and alternatives. Like Acadian, AQR pioneers factor-based investing with strong academic pedigree and serves institutional clients globally.
- Two Sigma Investments: Two Sigma is a direct peer as a leading systematic investment manager applying data science and technology to global equity and alternatives strategies. Both firms share the systematic, data-driven philosophy for institutional clients.
- PanAgora Asset Management: PanAgora is a direct peer — a multi-strategy systematic asset manager specializing in quantitative equity and multi-asset strategies for institutional clients. Smaller in scale but with similar methodology and target market as Acadian.
- Man Group plc: Man Group's AHL and Numeric divisions run systematic equity and credit strategies comparable to Acadian. Man Group's systematic alternatives franchise makes it a direct peer in the quantitative multi-asset space serving institutional clients.
- Dimensional Fund Advisors: Dimensional is a direct peer in systematic/quantitative equity, applying academic finance research to global equity strategies with a focus on factor-based investing. Comparable in serving institutional and wealth channels with systematic equity strategies.
- Robeco: Robeco runs quantitative equity strategies alongside its broader active and sustainable investing franchises. Comparable as a systematic equity manager serving institutional clients globally, with growing presence in sustainable/quant strategies that aligns with Acadian's ESG offerings.
Market position
Strengths5 records
Weaknesses5 records
Competitive moat6 records
Key risks5 records
Key highlights7 records
Customer concentration
Acadian Asset Management social profiles
Digital presenceAcadian Asset Management financial estimates
Financial estimateRevenue estimate
Valuation estimate
Acadian Asset Management leadership team
Management profileNumber of profiles
Profiles8 records
Acadian Asset Management subsidiaries and ownership
Company hierarchySubsidiaries1 record
Acadian Asset Management funding detail
Funding detailFunding overview
Funding rounds1 record
Investors
Funding detail is available on the Subscription and Enterprise plan.Contact sales →
Acadian Asset Management M&A and investment
M&A and investmentM&A
Investments
M&A and investment is available on the Subscription and Enterprise plan.Contact sales →
Frequently asked questions about Acadian Asset Management
What does Acadian Asset Management do?
Acadian Asset Management is a pure-play systematic investment manager that offers institutional investors access to a diversified array of systematic investment strategies spanning equities, credit, and alternatives. The firm applies quantitative models and proprietary data-driven analytics to evaluate approximately 65,000 securities daily, using portfolio construction, risk controls, and trading systems to generate alpha for pension funds, endowments, sovereign wealth funds, and wealth platforms globally.
Is Acadian Asset Management a public or private company?
Acadian Asset Management is a public company. It is classified as public and is currently operating.
When was Acadian Asset Management founded?
Acadian Asset Management was founded in 1986. It employs 251 to 500 people.
Where is Acadian Asset Management based?
Acadian Asset Management is headquartered in Boston, United States, in the North America region.
How does Acadian Asset Management make money?
Two revenue lines are on record. Management Fees are the primary driver. The others are performance Fees.
Who are Acadian Asset Management's main competitors?
Broad incumbents on record are Goldman Sachs Asset Management, State Street Global Advisors, Wellington Management and BlackRock Inc.. Direct peers are AQR Capital Management, Two Sigma Investments, PanAgora Asset Management, Man Group plc, Dimensional Fund Advisors and Robeco.
Does Acadian Asset Management have an API?
No public API is recorded for Acadian Asset Management.
What industry is Acadian Asset Management in?
Acadian Asset Management's product category is Institutional Asset Management. Its primary akta.pro industry code is FSAAAIAL, Quantitative/Systematic Equity (Active), with a secondary code of FSAAAIAD, Global Equity (Active). Its NAICS code is 523940 and its SIC code is 6282.