The company's competitors: CNS, NEA, NAD, NVG, SII, STEW, NMZ, NBXG, PTA, NRK, WDI, GGN, PAXS, NIE, NDMO, IFN, NXJ, NPFD, NBB, NMAI, SDHY, HFRO, ARDC, BRW, RFMZ, JGH, NPCT, FTF, NUW, NPV, OPP, NXG, ECF, GLQ, IAF, VFL, IHD, ERH, HNW, HNNA, RGT, GLV, PGZ, NMS, JMM, MXE, COHN, RCG, TPZ, BSIG, CBH, INSI, NDP, IHTA, MIO

GURU.Markets stock price, segment price, and overall market index valuation

The company's share price Acadian Asset Management

Acadian Asset Management is a quantitative asset manager. The company's share price reflects the success of its investment models and the volume of assets under management. It's a story where math and data drive financial results.

Share prices of companies in the market segment - Specialized fund management

Acadian is a management company that uses quantitative (quantum) models for investing. We classify it as a Specialized Fund Management company, and the chart below reflects the dynamics of the entire quant investment industry, which is heavily dependent on the performance of its models.

Broad Market Index - GURU.Markets

Acadian Asset Management is a global investment firm that uses quantitative methods to manage stock portfolios. Its expertise earns it a spot in the GURU.Markets index. The chart below represents the market. See how its strategies compare to the overall trend.

Change in the price of a company, segment, and market as a whole per day

AAMI - Daily change in the company's share price Acadian Asset Management

change_co for Acadian Asset Management measures daily volatility, reflecting sensitivity to stock market dynamics and assets under management. This metric, while unspectacular, is an important component of the models on System.GURU.Markets that analyze the asset management industry.

Daily change chart of the company's share price Acadian Asset Management
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Daily change in the price of a set of shares in a market segment - Specialized fund management

The asset management sector, in which Acadian Asset Management operates, is sensitive to market conditions. This chart shows the average daily volatility of the financial industry. It serves as a benchmark for assessing how closely Acadian's quantitative strategy-based business correlates with overall trends.

Graph of daily price changes for a set of shares in a market segment - Specialized fund management
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Daily change in the price of a broad market stock, index - GURU.Markets

Acadian Asset Management is an asset management company. Its business is directly dependent on the health of financial markets and the influx of capital into its funds. The chart below shows the general volatility that characterizes such companies.

Daily chart of changes in the price of broad market stocks, index - GURU.Markets
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Dynamics of market capitalization of the company, segment and the market as a whole over 12 months

Annual dynamics of the company's market capitalization Acadian Asset Management

Acadian is an asset management company. Its revenue is directly dependent on the volume of funds under management, and therefore on market conditions. Fluctuations in the stock prices of such companies are a direct reflection of market sentiment and are part of overall volatility.

Chart of the annual dynamics of the company's market capitalization Acadian Asset Management
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Annual dynamics of market capitalization of the market segment - Specialized fund management

Acadian, a private asset manager, specializes in quantitative investment strategies. Its growth, as measured by asset inflows, is likely to outpace the sector if its complex models successfully adapt to changing market conditions, demonstrating the effectiveness of its scientific approach to investing.

Graph of annual dynamics of market capitalization of a market segment - Specialized fund management
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Annual dynamics of market capitalization of broad market stocks, index - GURU.Markets

The ticker symbol AAMI belongs to Axon Enterprise, not Acadian. Axon, which produces Tasers and body cameras for police, focuses on security. Demand for its products is driven by government budgets and social trends, not economic cycles. The company's stock price is a story of technological monopoly in the public safety market.

Chart of the annual dynamics of the market capitalization of broad market stocks, index - GURU.Markets
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Dynamics of market capitalization of the company, segment and the market as a whole for the month

Monthly dynamics of the company's market capitalization Acadian Asset Management

Acadian's market capitalization as an asset management company will depend on the effectiveness of its investment strategies. Monthly fluctuations on the chart will reflect the value of assets under management (AUM), which fluctuates with the market, and net client fund flows.

Chart of monthly dynamics of the company's market capitalization Acadian Asset Management
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Monthly dynamics of market capitalization of the market segment - Specialized fund management

Acadian Asset Management is a global asset manager that uses quantitative models to make investment decisions. They rely on math and data rather than traditional analysis. The chart below shows the overall dynamics in the fund management sector, allowing one to gauge investor sentiment toward sophisticated quant strategies.

Chart of monthly dynamics of market capitalization of a market segment - Specialized fund management
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Monthly dynamics of market capitalization of broad market stocks, index - GURU.Markets

Acadian Asset Management is an institutional asset manager. Its revenue is directly dependent on the amount of assets under management (AUM) and performance fees. Therefore, the company's stock performance is closely tied to overall market trends: in a rising market, AUM and revenue increase, while in a falling market, they decrease.

Chart of monthly dynamics of market capitalization of broad market stocks, index - GURU.Markets
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Dynamics of market capitalization of the company, segment and the market as a whole for the week

Weekly dynamics of the company's market capitalization Acadian Asset Management

Acadian Asset Management, an asset management firm using quantitative strategies, shares weekly reflect the performance of its models and investor appetite for quant funds. Price movements depend on client inflows and the performance of its trading algorithms.

Chart of the weekly dynamics of the company's market capitalization Acadian Asset Management
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Weekly dynamics of market capitalization of the market segment - Specialized fund management

The quantitative asset management sector reflects the performance of complex trading algorithms on a weekly basis. The overall performance of the industry depends on market volatility and the ability of quant models to predict movements. The chart provides this backdrop against which Acadian's strategies can be assessed.

Weekly market capitalization dynamics chart for a market segment - Specialized fund management
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Weekly dynamics of market capitalization of stocks of the broad market, index - GURU.Markets

Acadian Asset Management is a closed-end investment fund. Its performance reflects both its managers' strategies and the overall market situation. The chart allows you to compare the fund's performance with the broader market index and assess whether it is outperforming or protecting against its short-term movements.

Weekly market capitalization chart of broad market stocks, index - GURU.Markets
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Market capitalization of the company, segment and market as a whole

AAMI - Market capitalization of the company Acadian Asset Management

Acadian Asset Management's market capitalization chart tells the story of a quantitative investment manager who uses complex mathematical models to make decisions. Its performance reflects not only general market trends but also the effectiveness of its strategies and its ability to attract client assets. It's a tale of investors' faith in the power of algorithms.

Company market capitalization chart Acadian Asset Management
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AAMI - Share of the company's market capitalization Acadian Asset Management within the market segment - Specialized fund management

Acadian Asset Management is a global asset management firm that uses quantitative methods to make investment decisions. Its market share reflects its assets under management. Its performance chart demonstrates the success of its complex mathematical model in the ever-changing financial world.

Company Market Capitalization Share Chart Acadian Asset Management within the market segment - Specialized fund management
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Market capitalization of the market segment - Specialized fund management

Acadian Asset Management is a quantitative asset manager. Its position in the sector is unique. The sector's total market capitalization chart serves as the backdrop against which Acadian applies its sophisticated mathematical models to identify investment opportunities, aiming to outperform the market.

Market segment market capitalization chart - Specialized fund management
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Market capitalization of all companies included in a broad market index - GURU.Markets

Acadian Asset Management is a quantitative investment manager that uses complex mathematical models to make decisions. Its market capitalization reflects the value of its algorithms. The chart below shows the importance of "quantum" funds and their technologies in the financial world.

A chart of the market capitalization of all companies included in the broad market index. - GURU.Markets
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Book value capitalization of the company, segment and market as a whole

AAMI - Book value capitalization of the company Acadian Asset Management

Acadian Asset Management's balance sheet is essentially its operating capital, technology, and analytical models for quantitative investing. Book value reflects the underlying assets that enable it to manage tens of billions of dollars. How has this "smart" capital evolved? The chart below shows its dynamics, not directly related to the market.

Company balance sheet capitalization chart Acadian Asset Management
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AAMI - Share of the company's book capitalization Acadian Asset Management within the market segment - Specialized fund management

Acadian Asset Management is an investment firm, and its book value reflects its assets, including offices and IT infrastructure. The chart shows the share of these assets in the sector, demonstrating its relative physical size compared to other management companies.

Chart of the company's book capitalization share Acadian Asset Management within the market segment - Specialized fund management
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Market segment balance sheet capitalization - Specialized fund management

As the BCap_Seg chart shows, asset management is a low-capital-intensity business. Acadian Asset Management confirms this. Its value lies in intellectual capital: models, algorithms, and a team, not in office buildings. The chart helps us understand that it's a game of brains, not brawn.

Market segment balance sheet capitalization chart - Specialized fund management
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Book value of all companies included in the broad market index - GURU.Markets

Acadian Asset Management's balance sheet is not made up of physical assets, but rather vast capital invested in company stocks around the world. Thus, its book value represents its ownership stake in thousands of physical factories, offices, and technologies, reflecting its overall weight in the material global economy.

Chart of book value of all companies included in the broad market index - GURU.Markets
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The ratio of market capitalization to book capitalization of a company, segment, and the market as a whole

Market capitalization to book capitalization ratio - Acadian Asset Management

Acadian Asset Management is an asset management company. Its book value is small. Its main asset, invisible in its financial statements, is its investment strategies and reputation, which attract client capital. The MvsBCap chart shows how the market perceives Acadian's ability to generate income for clients. Its dynamics depend on management results and cash inflows.

Market to Book Capitalization Ratio Chart - Acadian Asset Management
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Market to book capitalization ratio in a market segment - Specialized fund management

Acadian Asset Management is a quantitative asset management company. Its core assets are its investment strategies, team, and brand. The chart shows how much the market values โ€‹โ€‹its ability to attract and manage capital, in addition to its tangible assets.

Market to book capitalization ratio chart for a market segment - Specialized fund management
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Market to book capitalization ratio for the market as a whole

Acadian Asset Management is a quantitative asset management company. Its value lies not in its offices, but in its intellectual propertyโ€”its investment algorithms and reputation. Its market valuation reflects the confidence of its clients and investors in its ability to consistently outperform the market, which is a completely intangible asset.

Market to book capitalization ratio chart for the overall market
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Debts of the company, segment and market as a whole

AAMI - Company debts Acadian Asset Management

Acadian Asset Management, as a management company, has a very low debt requirement for its core operations. Financial liabilities may be related to operating leases or corporate needs. This chart demonstrates the company's conservative financial policy, whose primary assets are intellectual capital and client trust.

Company debt schedule Acadian Asset Management
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Market segment debts - Specialized fund management

Acadian Asset Management is a quantitative asset management firm. Unlike industrial companies, its business is less capital-intensive. Debt obligations here may be tied to operating activities or strategic initiatives, rather than plant financing. This chart illustrates the unique financial structure for this sector.

Market segment debt schedule - Specialized fund management
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Market debt in general

Market debt chart as a whole
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Debt to book value of the company, segment and market as a whole

The company's debt to book capitalization ratio Acadian Asset Management

Acadian Asset Management is a global investment management company. This chart is unusual for the financial sector, but it may reflect the debt on the holding company's balance sheet. The debt level for an asset manager indicates the extent to which the company uses debt for its own corporate purposes, such as acquiring other managers.

A graph of a company's debt to book value Acadian Asset Management
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Market segment debt to market segment book capitalization - Specialized fund management

Acadian Asset Management is an asset management company that uses financial leverage to enhance returns. This chart, for the investment industry, shows the overall risk appetite. It helps understand how aggressive or conservative the management company's strategy is compared to the market as a whole.

Market segment debt to market segment book value graph - Specialized fund management
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Debt to book value of all companies in the market

Acadian Asset Management is an investment firm that uses leverage as a tool for increasing returns. This chart, showing average debt across all sectors, highlights this characteristic. The debt level here reflects the investment strategy, not an operational need, as is the case with industrial companies.

Debt to book value chart of all companies in the market
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P/E of the company, segment and market as a whole

P/E - Acadian Asset Management

This chart from Acadian Asset Management, an asset management company, illustrates the market's assessment of its investment strategies. Its dynamics depend on client fund inflows and portfolio management performance. It demonstrates the extent to which investors trust the company's ability to generate returns and, consequently, fees.

Schedule P/E - Acadian Asset Management
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P/E of the market segment - Specialized fund management

This chart shows the average P/E ratio for the asset management sector in which Acadian operates. The industry's valuation is driven by capital inflows and the effectiveness of its investment strategies. This metric serves as a barometer for the entire industry, providing insight into how the market views Acadian's approach compared to its many competitors.

Market Segment P/E Chart - Specialized fund management
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P/E of the market as a whole

Acadian Asset Management is a global investment firm that uses quantitative methods to manage assets. Its success depends on the effectiveness of its models and capital inflows. This chart, showing the overall market valuation, provides insight into how investors view the asset management industry as a whole: as a business benefiting from rising markets or as a sector under pressure.

Overall Market P/E Chart
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Future P/E of the company, segment and market as a whole

Future (projected) P/E of the company Acadian Asset Management

Acadian Asset Management is an asset management company that uses quantitative models to make investment decisions. The chart reflects expectations for future returns, which depend on the size of assets under management (AUM) and the effectiveness of investment strategies. The market assesses the company's ability to attract new funds and generate income.

Chart of the company's future (projected) P/E Acadian Asset Management
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Future (projected) P/E of the market segment - Specialized fund management

Acadian Asset Management is a global investment firm that uses quantitative methods to manage assets. Its success depends on the effectiveness of its models and the inflow of client funds. The chart shows the average return expectations in the sector, helping to understand how the market views Acadian's prospects compared to other managers.

Future (projected) P/E graph of the market segment - Specialized fund management
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Future (projected) P/E of the market as a whole

Acadian Asset Management is a global investment firm that uses quantitative methods to manage its clients' assets. Its success depends on attracting client funds and the effectiveness of its strategies. This graph of overall market sentiment directly impacts the asset management industry, as it determines investors' risk appetite.

Chart of the future (projected) P/E of the market as a whole
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Profit of the company, segment and market as a whole

Company profit Acadian Asset Management

Acadian Asset Management is an asset management company that uses quantitative models to make investment decisions. Its profit comes from the fees it charges its clients for managing their capital. This chart shows how the size of assets under management and the success of its strategies impact its financial performance.

Company profit chart Acadian Asset Management
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Profit of companies in the market segment - Specialized fund management

Acadian Asset Management is a global investment firm that uses quantitative methods to manage stock portfolios. Its success depends on the effectiveness of its mathematical models. This chart shows the overall performance dynamics in the asset management sector, where competition is fierce and results are directly dependent on the ability to outperform market indices.

Profit chart of companies in the market segment - Specialized fund management
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Overall market profit

Acadian Asset Management is an asset management company that uses quantitative investment models. Its revenue, consisting of management fees, is directly dependent on the volume of assets under management and the success of its strategies. The overall market situation, reflected in this chart, influences both the value of portfolios and the inflow of client funds into Acadian's funds.

Overall Market Profit Chart
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Future (predicted) profit of the company, segment and market as a whole

Future (projected) profit of the company Acadian Asset Management

Acadian Asset Management is a global investment management firm that uses quantitative methods to make decisions. Its revenue, and therefore profit, depends on assets under management (AUM) and management fees. This chart essentially reflects analyst expectations regarding the firm's ability to attract capital and deliver results.

Graph of future (projected) profit of the company Acadian Asset Management
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Future (predicted) profit of companies in the market segment - Specialized fund management

Acadian Asset Management is a global investment firm that uses quantitative methods to manage its clients' assets. Its success depends on the effectiveness of its models and its ability to attract capital. This chart illustrates overall profitability expectations for the entire asset management sector, helping to assess Acadian's positioning against industry trends.

Graph of future (predicted) profits of companies in a market segment - Specialized fund management
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Future (predicted) profit of the market as a whole

Acadian Asset Management is a global investment management company. Its revenue (management fees) is directly dependent on the volume of assets under management. This expected corporate profit curve impacts stock markets, and therefore the value of Acadian's assets, as well as the inflow or outflow of client funds.

Chart of future (predicted) profits of the market as a whole
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P/S of the company, segment and market as a whole

P/S - Acadian Asset Management

Acadian Asset Management is a quantitative asset management firm. Its revenue comes from fees based on assets under management (AUM). This chart shows how investors perceive its ability to attract and retain capital. The dynamics of the multiple can reflect both the performance of its strategies and the overall risk appetite in the market.

Schedule P/S - Acadian Asset Management
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P/S market segment - Specialized fund management

Acadian Asset Management is a global investment firm that uses quantitative methods and sophisticated models to manage its clients' portfolios. Their success depends on the precision of their algorithms and their ability to identify market inefficiencies. This chart shows how the market, on average, values โ€‹โ€‹management companies, providing context for Acadian's business valuation.

Market Segment P/S Chart - Specialized fund management
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P/S of the market as a whole

Acadian Asset Management is a global investment firm that uses quantitative methods to manage equity portfolios. Its revenue comes from management fees, which are based on asset volume. This chart provides context for comparing the valuation of a financial company whose revenue is dependent on market sentiment with the overall economy average.

Overall Market Price/Shares Chart
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Future P/S of the company, segment and market as a whole

Future (projected) P/S of the company Acadian Asset Management

Acadian Asset Management is an asset management firm that uses quantitative methods to make investment decisions. Its future earnings (management fees) depend on the size of its assets under management (AUM). This chart shows how investors evaluate the firm's ability to attract new funds and deliver returns that will retain clients.

The graph of the company's future (projected) P/S Acadian Asset Management
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Future (projected) P/S of the market segment - Specialized fund management

Acadian Asset Management is a global investment firm that uses quantitative methods to manage equity portfolios. This chart compares the company's estimated future performance with other asset managers. It reflects investor expectations regarding the effectiveness of its trading models and its ability to attract capital from institutional clients worldwide.

Future (projected) P/S market segment graph - Specialized fund management
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Future (projected) P/S of the market as a whole

Acadian Asset Management is a quantitative asset management firm. Its success depends on the effectiveness of its strategies and the inflow of client funds. In the context of the overall revenue expectations shown in the chart, Acadian represents an industry that is trying to capitalize on these expectations.

Chart of the future (projected) P/S of the market as a whole
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Sales of the company, segment and market as a whole

Company sales Acadian Asset Management

This chart shows the revenue of Acadian Asset Management, an investment management firm that uses quantitative models to make decisions. Revenue is generated through management fees, which vary based on assets under management (AUM). The dynamics of this metric reflect the company's ability to attract capital and the success of its investment strategies.

Company sales chart Acadian Asset Management
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Sales of companies in the market segment - Specialized fund management

Acadian Asset Management is a quantitative investment manager that uses complex models to manage assets. Its revenue structure is based on assets under management (AUM) and management fees. Analysis of this data reveals which strategies (equities, emerging markets) attract the most client capital.

Sales chart of companies in the market segment - Specialized fund management
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Overall market sales

Acadian Asset Management is a global investment firm that uses quantitative methods to manage assets. Its success depends on the ability of its models to identify profitable market opportunities, not on the production of commodities. This graph of overall economic activity represents the arena in which Acadian applies its strategies, aiming to outperform the broader market.

Market sales chart as a whole
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Future sales volume of the company, segment and market as a whole

Future (projected) sales of the company Acadian Asset Management

Acadian Asset Management is a global investment firm that uses quantitative methods to manage its clients' assets. Its revenue comes from management fees, which are based on assets under management (AUM). This chart reflects analysts' forecasts for AUM growth, a key indicator of success for any asset manager.

Schedule of future (projected) sales of the company Acadian Asset Management
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Future (projected) sales of companies in the market segment - Specialized fund management

Acadian Asset Management is a global investment management firm using quantitative analysis methods. This chart reflects forecasts for the asset management sector. How does overall financial market sentiment influence industry-wide earnings expectations? This provides insight into the macroeconomic backdrop in which Acadian operates.

Schedule of future (projected) sales of companies in the market segment - Specialized fund management
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Future (projected) sales of the market as a whole

Acadian Asset Management is an investment management firm offering quantitative strategies. Its success depends on the inflow of client funds and the performance of its stock market models. General economic trends, visible on this chart, influence investor sentiment and asset prices, but Acadian's key driver is its own performance.

Schedule of future (predicted) sales of the market as a whole
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Marginality of the company, segment and market as a whole

Company marginality Acadian Asset Management

Acadian Asset Management is a global investment firm that uses quantitative methods to manage clients' assets. This chart shows the performance of its strategies. The firm's profitability depends on the size of its assets under management and the fees it charges. Success is determined by the ability of its models to consistently outperform market indices while attracting new capital.

Company marginality chart Acadian Asset Management
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Market segment marginality - Specialized fund management

Acadian Asset Management is a quantitative investment firm that uses complex mathematical models to make investment decisions. Its profitability as a business depends on its assets under management (AUM) and the fees it charges clients. This chart illustrates how the success of its strategies and its ability to raise capital impact its operational efficiency.

Market segment marginality chart - Specialized fund management
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Market marginality as a whole

As an asset management company, Acadian Asset Management is directly exposed to the state of financial markets. This chart, which reflects the overall profitability of the corporate sector, is a fundamental indicator that influences stock valuation. Healthy company margins create a positive backdrop for the growth of assets under Acadian's management.

Market marginality chart for the overall market
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Employees in the company, segment and market as a whole

Number of employees in the company Acadian Asset Management

Acadian Asset Management is an asset management firm using quantitative models. Its staff consists of highly qualified analysts, researchers, and portfolio managers. Unlike industrial companies, it's not the size of the team that matters, but the expertise of the team. This chart shows a stable team managing billions in assets.

Chart of the number of employees in the company Acadian Asset Management
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Share of the company's employees Acadian Asset Management within the market segment - Specialized fund management

Acadian Asset Management is a global investment management firm using quantitative analysis methods. Its core asset is the intellectual capital of its team of analysts, researchers, and portfolio managers. This chart shows a very small share of the labor market, which is typical for management companies where success is determined by expertise, not headcount.

Graph of the company's share of employees Acadian Asset Management within the market segment - Specialized fund management
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Number of employees in the market segment - Specialized fund management

Acadian Asset Management is an investment management firm that uses quantitative methods to make decisions. The chart shows employment in the specialized fund management sector. Stability or growth in this area indicates investor confidence in the active management and sophisticated strategies that are the foundation of Acadian's business.

Graph of the number of employees in the market segment - Specialized fund management
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Number of employees in the market as a whole

Acadian Asset Management is an investment management firm using quantitative models. Its staff consists of highly skilled analysts and programmers. Unlike industry giants, its contribution to the overall employment shown in this chart is small, but the team's growth speaks to the development of sophisticated financial technologies and the demand for algorithmic trading.

Chart of the number of employees in the market as a whole
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Market capitalization per employee (in thousands of dollars) of the company, segment, and market as a whole

Market capitalization per employee (in thousands of dollars) of the company Acadian Asset Management (AAMI)

Acadian Asset Management is a quantitative asset manager. This chart illustrates the essence of their business. A small team of mathematicians and programmers creates complex algorithms to manage billions of dollars. The company's value is derived from their models. The high capitalization per employee is a direct reflection of this intellectual and financial leverage.

Chart of market capitalization per employee (in thousands of dollars) of the company Acadian Asset Management (AAMI)
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Market capitalization per employee (in thousands of dollars) in the market segment - Specialized fund management

Acadian Asset Management (AAMI) is a global asset manager that uses quantitative models to make investment decisions. Their main assets are R&D and analysts. (The ticker symbol "AAMI" may be inaccurate.) This chart shows the industry average cost per employee. It helps assess how the market values โ€‹โ€‹their "quantum" models and their ability to attract AUM.

Market capitalization per employee (in thousands of dollars) by market segment - Specialized fund management
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Market capitalization per employee (in thousands of dollars) for the overall market

Acadian Asset Management is an asset management firm that uses quantitative models to make investment decisions. Value is created not by people, but by algorithms and technology. The chart shows a very high cost per employee, as a small team of quant analysts and programmers manages billions of dollars of client funds.

Market capitalization per employee (in thousands of dollars) for the overall market
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Profit per employee (in thousands of dollars) for the company, segment, and market as a whole

Profit per employee (in thousands of dollars) of the company Acadian Asset Management (AAMI)

Acadian is an institutional asset manager using quantitative (quant) models. A small team of highly paid analysts and quants manages billions of dollars. This chart shows how much profit (in the form of management fees) each employee generates. It's a direct indicator of the effectiveness of their models and the scale of their AUM.

Company Profit Per Employee (in thousands of dollars) Chart Acadian Asset Management (AAMI)
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Profit per employee (in thousands of dollars) in the market segment - Specialized fund management

Acadian Asset (a private company?) is a "quantum" asset manager. This chart shows the benchmark for "fund management." The average profit per employee in this sector is astronomical. It's an "algorithmic business." A tiny staff of "quants" manages billions of AUM, generating "eternal" fees.

Chart of profit per employee (in thousands of dollars) in the market segment - Specialized fund management
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Profit per employee (in thousands of dollars) for the market as a whole

Acadian Asset Management (AAMI) is a global asset manager using quantitative (quant) strategies. It's a "brain power" and algorithms business. This chart shows how effective their intellectual capital is. Return per employee (quants, managers) depends on AUM (assets under management) and the fees they charge for their strategies.

Chart of profit per employee (in thousands of dollars) for the market as a whole
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Sales to employees of the company, segment and market as a whole

Sales per company employee Acadian Asset Management (AAMI)

Acadian Asset Management is an asset management company. This metric reflects how effectively a small team of analysts and managers generates income (in the form of fees) from a large portfolio under management. A rise in the chart indicates an increase in assets or the success of investment strategies.

Sales chart per company employee Acadian Asset Management (AAMI)
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Sales per employee in the market segment - Specialized fund management

Acadian Asset Management is a global asset manager that uses quantitative (quantum) models for investments. Their main asset isn't thousands of employees, but rather their intellectual property (models) and team of analysts. This chart shows the average output in the sector. For Acadian, this is a marker of the effectiveness of their model: how much revenue (fees) does their elite team generate?

Sales per employee chart in the market segment - Specialized fund management
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Sales per employee for the market as a whole

Acadian Asset Management is an asset management company that uses quantitative models to make investment decisions. In this business, leverage is enormous. A small team of highly skilled analysts and programmers manages billions of dollars. This chart shows how scalable their model is: revenue (fees) is based on AUM, not on staff.

Sales per employee chart for the market as a whole
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Short shares by company, segment and market as a whole

Shares shorted by company Acadian Asset Management (AAMI)

Acadian Asset Management (AAMI) is an asset management company that uses quantitative (quant) models for investing. Its revenue depends on assets under management (AUM) and fees. This chart tracks bearish bets. Bears can expect poor performance of AAMI funds to lead to capital outflows from clients, which will directly reduce the company's fee income.

Short Shares Chart for the Company Acadian Asset Management (AAMI)
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Shares shorted by market segment - Specialized fund management

Acadian Asset Management (AAMI) is a global investment management firm using quantitative (quant) models. This chart shows the total short position in the asset management sector. It reflects investor skepticism about active management or concerns about the outflow of funds in favor of passive ETFs.

Chart of the share of shares shorted by market segment - Specialized fund management
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Shares shorted by the overall market

Acadian (AAMI) is an asset manager. Its revenue (fees) is directly tied to the value of assets under management (AUM). This "Short_All" chart signals fear of a market correction. This pessimism is toxic for AAMI: a market decline immediately reduces its AUM and, consequently, its revenue.

Chart of the percentage of shares shorted across the market as a whole
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RSI 14 indicator for a company, segment, and market as a whole

The company's RSI 14 indicator Acadian Asset Management (AAMI)

Acadian Asset Management is an asset manager. Income depends on market conditions and client inflows and outflows. This chart for AAMI (if it were trading) would reflect market sentiment. Zones above 70 indicate a bull market, while levels below 30 indicate a market downturn and asset outflows, which impacts fees.

RSI 14 indicator chart for the company's stock Acadian Asset Management (AAMI)
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RSI 14 Market Segment - Specialized fund management

Acadian Asset Management (AAMI) is a "quant" in the financial world. They're an asset manager that uses quantitative (mathematical) models for investing. The RSI_14_Seg for their segment (funds) shows the "temperature." It helps us understand whether AAMI's growth is their "alpha" or a general "overheating" of the sector.

RSI 14 indicator chart for stocks of companies in the market segment - Specialized fund management
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RSI 14 for the overall market

Acadian Asset Management (AAMI) is an asset manager. Its revenue comes from fees on assets under management. During periods of euphoria, markets rise, asset values โ€‹โ€‹increase, and AAMI attracts new funds. During moments of panic, clients withdraw their funds, and asset prices fall, which deals a double blow to revenue.

RSI 14 indicator chart for stocks of companies across the market as a whole
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Analyst consensus forecast for the company's share price, the segment, and the market as a whole

Analyst consensus stock price forecast AAMI (Acadian Asset Management)

Acadian Asset Management is a global asset manager that uses quantitative (quantum) models to make investment decisions. This chart shows the average analyst forecast. Their target prices are likely tied to assets under management (AUM), which depends on the performance of their quant strategies and overall investor sentiment.

A chart showing analyst consensus forecasts for the expected stock price. AAMI (Acadian Asset Management)
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The difference between the consensus estimate and the actual stock price AAMI (Acadian Asset Management)

Acadian Asset Management is a global quantitative asset manager. They don't pick stocks intuitively, but use complex mathematical models and AI to make investment decisions. This chart shows how confident analysts are in the effectiveness of their quant models and their ability to attract investor assets (AUM).

A chart showing the difference between the consensus forecast and the actual stock price. AAMI (Acadian Asset Management)
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Analyst consensus forecast for stock prices by market segment - Specialized fund management

Acadian Asset Management (part of BrightSphere, ticker BSIG, but AAMI is used as a proxy here) is a quant investment firm that uses complex models to manage global equity portfolios. This chart shows general expectations for the fund management sector. It reflects whether experts believe in a "quantum" approach to investing.

A chart showing analyst consensus price forecasts for stocks in a market segment. - Specialized fund management
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Analysts' consensus forecast for the overall market share price

Acadian Asset Management (AAMI) is a global asset manager using a quantitative approach. They build complex mathematical models to select stocks. This chart shows overall market sentiment. For Acadian, whose business is based on fees based on assets (AUM), these expectations directly impact the value of their clients' portfolios and the inflow of new funds. (347)

A chart showing analyst consensus forecasts for the overall market share price.
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AKIMA index of the company, segment and market as a whole

AKiMA Company Index Acadian Asset Management

Acadian Asset Management (AAMI) is apparently an asset management firm specializing in quantitative investment strategies. Their business is complex mathematical models for stock picking. This chart is an indicator of their AUM. Its dynamics reflect the inflow (or outflow) of client funds and, more importantly, the market's confidence in the effectiveness of their quant models.

AKIMA Index Chart for the Company Acadian Asset Management
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AKIMA Market Segment Index - Specialized fund management

Acadian Asset Management (AAMI) is a global quantitative asset manager; the company uses complex mathematical models (rather than fundamental analysis) to select stocks. This composite metric evaluates financial companies. The chart shows the sector average. This is a benchmark: how does Acadian's unique (quant) model differentiate it from the average, traditional manager?

AKIMA Market Segment Index Chart - Specialized fund management
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The AKIM Index for the overall market

Acadian Asset Management (AAMI) is a global investment firm specializing in quantitative asset management strategies. This chart, which reflects the market average, is more than just a backdrop. It directly impacts AAMI: market conditions influence the volume of assets under management (AUM) and the performance of its strategies.

AKIM Index chart for the overall market
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