AQR - Alternative Investments | Asset Management | AQR tiffany och co sydney

AQR is a global investment management firm built at the intersection of financial theory and practical application. We invest on behalf of our clients — including institutional investors, such as pension funds, defined contribution plans, insurance companies, endowments, foundations, family offices and sovereign wealth funds, as well as RIAs, private banks and financial advisors. Our commitment to these clients is to help them exceed their long-term objectives. We do this by filtering out market noise to identify and isolate what matters most, and by implementing ideas that stand up to rigorous testing.

Our focus on research-driven, practical insights powered by advanced technology, economic intuition and firm-wide risk management, has made us leaders in alternative and traditional strategies and explains why so many types of investors seek our expertise in meeting their financial challenges.

Latest News and Insights

  • October 13, 2017

    War Stories Over Board Games

    Topic: AQR

    Cliff Asness recently sat down with Institutional Investor to discuss the early days of AQR, the Quant Crisis and other memorable moments.

     Access the Full Video Here

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  • September 19, 2017

    Alternative Thinking 3Q17: Systematic vs Discretionary

    Topic: Portfolio Construction, Style Investing

    In this quarter’s Alternative Thinking, we compare and contrast systematic and discretionary investment approaches. Despite differences, there are important commonalities: both can be fundamentally grounded, relying on similar economically intuitive inputs but in different ways. We discuss several other myths about systematic managers besides their supposed black-box nature. One such myth is that “they all do the same thing” whereas we show that the correlations between the active returns of individual systematic managers are very low, comparable to those between discretionary managers. We present empirical evidence of systematic and discretionary managers’ performance and risk, concluding that neither group has been inherently better than the other one and that they have historically been good complements.

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  • August 23, 2017

    2018 AQR Insight Award Call for Papers

    Topic: AQR Insight Award, Research, Academic

    AQR Capital Management, LLC (“AQR”) today began accepting submissions for the seventh annual AQR Insight Award.

    The AQR Insight Award recognizes and rewards exceptional academic papers that have practical applications and offer original, intelligent approaches to issues in the investment world. Up to three papers share a $100,000 annual prize.

    Winners are chosen by the AQR Insight Award Committee, a panel of senior members of the firm, many of whom are leading academic finance experts from top universities. 

    AQR will accept papers on any investment-related topic as long as they deliver clear, significant insights.

    The deadline for entries is November 1, 2017

    More information and instructions for submitting papers online may be found at www.aqr.com/insightaward.

    Learn More
  • August 21, 2017

    Asset Allocation in a Low Yield Environment

    Topic: Asset Allocation, Risk Parity, Market Timing

    The year 2016 saw bond yields fall to unprecedented low levels in major developed markets, with nominal yields on 10-year German and Japanese government bonds even turning negative. While yields have risen off their lows in 2017, we are still in a very low rate environment. Does this demand exceptional action from investors – even those who usually maintain a strategic allocation to global bonds? We find that it does not, instead it highlights the importance of diversification across many return sources.

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  • August 10, 2017

    A Half Century of Macro Momentum

    Topic: Portfolio Construction, Momentum Investing, Diversification, Trend Following

    Macro momentum – a systematic global macro strategy that takes long positions in assets for which fundamental macroeconomic trends are improving and short positions in assets for which fundamental macroeconomic trends are deteriorating – has the potential to deliver strong positive returns with low correlation to traditional asset classes across various macroeconomic and market environments, including the potential to provide important diversification benefits in bear equity markets and rising yield environments.

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  • June 02, 2017

    2017 AQR Top Finance Graduate Award Winners Announced

    Topic: AQR

    AQR Capital Management and Copenhagen Business School (CBS) have announced the winners of the 2017 AQR Top Finance Graduate Award. Six Ph.D. students from leading universities around the world are this year’s award recipients.

    Now in its fifth year, the AQR Top Finance Graduate Award at CBS recognizes those Ph.D. graduates specializing in financial economics whose dissertation and broader research carry the greatest potential impact in both practice and academia. Winners are determined by a committee of renowned academics.

    Learn More
  • May 22, 2017

    AQR Capital Management Announces Winners of Sixth Annual Insight Award

    Topic: Insight Award

    AQR has announced the winners of its sixth annual AQR Insight Award, which honors exceptional academic papers that provide original, intelligent approaches to important issues in the investment world.

    This year Deviations from Covered Interest Rate Parity was awarded First Prize. The research was authored by Wenxin Du, Ph.D., Federal Reserve Board; Alexander Tepper, Ph.D., Columbia University; and Adrien Verdelhan, Ph.D., MIT Sloan School of Management. The authors will share the $100,000 annual prize.

    For more information about the AQR Insight Award and this year’s winning papers, click here.

    Read More
  • April 26, 2017

    Institutional Investor Journal’s “Factor Perspectives: Separating Factors from Fiction” Webinar

    Topic: Factor Investing

    AQR Principal Ronen Israel discusses factor investing with BlackRock's Andrew Ang and Research Affiliates' Rob Arnott in the Institutional Investor Journal webinar "Factor Perspectives: Separating Factors from Fiction."

    Moderated by Cam Harvey from Duke University, the panel explores the differing views around how factors are defined, constructed and evaluated.

    To view the webinar, click here.

    Learn More
  • January 19, 2017

    Alternative Thinking 1Q 2017: Capital Market Assumptions for Major Asset Classes

    Topic: Asset Allocation, Portfolio Management

    This issue of Capital Market Assumptions updates our multi-year expected returns for major asset classes. Compared to historical averages, we are still very much in a world of low expected returns.

    In this year’s edition, we modify our equity expected return methodologies to account for the growing corporate substitution of share buybacks for dividends. The topic is explored in greater depth in an Appendix which discusses specific details and presents the underlying theory and practical guidance on the data required to build these estimates.

    Learn More
  • December 13, 2016

    Superstar Investors Webinar | December 13, 2016

    Topic: Portfolio Management, Factor Investing

    Warren Buffett, Bill Gross, George Soros and Peter Lynch are some of the most well-known investors of our time, but there has been little empirical analysis to explain their performance. In this webinar, Jordan Brooks and Dan Villalon examine the track records of these “superstars” from a factor perspective to see if their investment philosophies — applied systematically — can help demystify their long-term alpha.

    Access the Replay
  • December 07, 2016

    Alternative Thinking 4Q 2016: Superstar Investors

    Topic: Portfolio Management, Factor Investing

    Many famous investors are outspoken about their investment philosophies, and carefully apply them to a select number of securities. In this Alternative Thinking, we seek to apply their wisdom systematically; to ask whether their philosophies applied broadly might still generate “alpha”.

    Our analysis suggests there are many ways to achieve long-run investment success. The takeaway for investors is to identify structural edges and commit to seeing them through inevitable periods of underperformance. As each of our superstars shows, “merely good” edges over time may compound to great long-term performance.

    Learn More
  • October 18, 2016

    2017 AQR Insight Award Call for Papers

    Topic: AQR Insight Award, Research, Academic

    AQR today began accepting submissions for its sixth annual AQR Insight Award. Up to three papers will share a $100,000 prize.

    The AQR Insight Award recognizes and rewards important, unpublished academic papers that provide significant insights and original, intelligent approaches to real-world investment issues.

    The winners are chosen by the AQR Insight Award Committee, a panel of senior members at AQR, many of whom are leading academic finance experts from top universities.

    The deadline for entries is January 15, 2017.

    More information and instructions for submitting papers online may be found at www.aqr.com/insightaward.

    Learn More
  • October 06, 2016

    AQR Wins Smart Beta Manager of the Year Award

    Topic: Smart Beta, Awards

    AQR was named the Smart Beta Manager of the Year at the Financial News’ 2016 Awards for Excellence. This marks the second year in a row that AQR has won in this category.

    The Financial News’ editorial team determines the shortlist in each category. The winners are then decided by votes from a distinguished panel of 50 industry practitioners, including institutional investors, investment consultants and other industry experts.

    The awards were announced on October 5 at the Victoria & Albert Museum in London.

  • July 28, 2016

    Insights in Action Webinar: What's Value Got to Do With It?

    Topic: Insights in Action, Webinar, Value Timing, Style Portfolio

    Can Value Timing Improve a Style Portfolio?

    Just like asset classes, styles - or factors - can become cheaper or more expensive than average. In this webinar, Cliff Asness and Ronen Israel discuss whether this information can be used to build a better style portfolio, and compare value timing to strategic diversification for style investors. They also take a look at the style landscape today, evaluating the extent to which concerns of expensiveness and crowding actually show up in prices.

    Access the Replay
  • July 13, 2016

    AQR Asset Management Institute at LBS presents AQR Scholar Award 2016

    Topic: AQR Asset Management Institute, London Business School, LBS, Scholar Award

    LBS students Charles Boissé and Stefano Filippi received the AQR Scholar Award at the Masters in Finance Final Dinner, held at Madame Tussauds in London on Tuesday, July 12, while Paolo Pio from the EMBA program received the AQR Scholar Award during the Capstone event on Wednesday, July 13.

    AQR Founding Principal David Kabiller announced, “We are pleased to congratulate this year’s award winners. They were selected from an outstanding student body for their academic achievements, innovative perspectives and their leadership qualities. We wish them great success and encourage them to mentor and inspire others towards achieving excellence.”

    The awards, which recognize outstanding academic performance and include a prize of £10,000, were presented by Stephen Schaefer, Professor of Finance, Deputy Dean (Faculty) and Academic Director, AQR Asset Management Institute at London Business School and Scott Richardson, Managing Director, AQR Capital Management and Professor of Management Practice in Accounting, London Business School.

    Read More
  • May 13, 2016

    AQR Announces Winners of Fifth Annual Insight Award

    Topic: AQR

    AQR has announced the winners of its fifth annual AQR Insight Award, which honors exceptional unpublished papers that provide original, intelligent approaches to important issues in the investment world. First Prize was awarded to two papers:

    • A Tough Act to Follow: Contrast Effects in Financial Markets” by Samuel M. Hartzmark, Ph.D., University of Chicago Booth School of Business, and Kelly Shue, Ph.D., University of Chicago Booth School of Business and NBER; and,
    • Size Discovery” by Darrell Duffie, Ph.D., Graduate School of Business, Stanford University, and Haoxiang Zhu, Ph.D., MIT Sloan School of Management.

    The authors share the $100,000 prize.

    Learn More
  • May 13, 2016

    AQR Top Finance Graduate Award Winners Announced

    Topic: AQR

    Copenhagen Business School and AQR Capital Management today announced the winners of the 2016 AQR Top Finance Graduate Award. Six Ph.D. students from leading universities around the world are this year’s award recipients. They are: Asaf Bernstein, MIT Sloan School of Business; Arpit Gupta, Columbia Business School; Elisabeth Kempf, Tilburg University; Song Ma, Duke University’s Fuqua School of Business; David Schoenherr, London Business School; and, Michael Schwert, Stanford Graduate School of Business

    Now in its fourth year, the AQR Top Finance Graduate Award at Copenhagen Business School (CBS) recognises those Ph.D. graduates whose dissertation and broader research carry the greatest potential impact in both practice and academia. Winners are determined by a committee of renowned academics.

    Learn More

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Sean Maitland: Saracens winger may miss Scotland's summer tour

Sean Maitland races for the ball during Scotland's Six Nations defeat by France in February
Sean Maitland races for the ball during Scotland's Six Nations defeat by France in February

Sean Maitland has emerged as a doubt for Scotland's summer tour as Saracens head coach Mark McCall has revealed he has suffered ankle ligament damage.

The injury puts him out of Saturday's European Champions Cup final against Clermont Auvergne at Murrayfield.

The 28-year-old winger was named as part of Gregor Townsend's first Scotland squad on Monday for matches in Singapore, Australia and Fiji.

"Sean is unfortunately out for the rest of the season," said McCall.

"It may or may not need surgery, but we won't find out for a few days. It's cruel luck for a player who has been in such great form."

Scotland will play a Test against Italy in Singapore on 10 June before facing Australia in Sydney on 17 June and Fiji in Suva on 24 June.

New-Zealand-born Maitland joined Glasgow Warriors in 2012 from Crusaders and qualified to play for Scotland through his Glaswegian grandparents.

He scored on his Scotland debut against England at Twickenham the following year and has gone on to score five tries in 28 international appearances.

Scotland squad:

Backs:

Back three: Damien Hoyland (Edinburgh Rugby), Ruaridh Jackson (Harlequins), Lee Jones (Glasgow Warriors), Sean Maitland (Saracens), Tim Visser (Harlequins); Centres: Alex Dunbar (Glasgow Warriors), Nick Grigg (Glasgow Warriors), Matt Scott (Gloucester), Duncan Taylor (Saracens); Fly-halves: Finn Russell (Glasgow Warriors), Peter Horne (Glasgow Warriors); Scrum-halves: Ali Price (Glasgow Warriors), Henry Pyrgos (Glasgow Warriors), Sam Hidalgo-Clyne (Edinburgh)

Forwards:

Props: Alex Allan (Glasgow Warriors), Allan Dell (Edinburgh Rugby), Zander Fagerson (Glasgow Warriors), Willem Nel (Edinburgh Rugby), D'Arcy Rae (Glasgow Warriors), Gordon Reid (Glasgow Warriors); Hookers: Fraser Brown (Glasgow Warriors), Ross Ford (Edinburgh Rugby), George Turner (Edinburgh Rugby); Locks: Jonny Gray (Glasgow Warriors), Richie Gray (Toulouse), Tim Swinson (Glasgow Warriors), Ben Toolis (Edinburgh Rugby); Back row: John Barclay (Scarlets - captain), Magnus Bradbury (Edinburgh Rugby), John Hardie (Edinburgh Rugby), Rob Harley (Glasgow Warriors), Josh Strauss (Glasgow Warriors), Hamish Watson (Edinburgh Rugby), Ryan Wilson (Glasgow Warriors).

Scotland's summer fixtures

10 June - Scotland v Italy, Singapore National Stadium, Singapore (KO tbc)

17 June - Scotland v Australia, Allianz Stadium, Sydney (05:00 BST)

24 June - Scotland v Fiji, ANZ Stadium, Suva (KO tbc)

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