MER Capital Management is a money management firm based in Alexandria, Virginia, specializing in providing quantitatively managed equity portfolios to individuals, institutions, and other investment advisory firms. Through their systematic, factor-based investment approach, they aim to deliver superior long-term risk-adjusted returns to their clients.
With a belief in creating quantitative stock investment strategies based on fundamental factors associated with superior stock returns, MER Capital Management offers a range of quantitative investment strategies to individuals, institutions, family offices, and other investment advisory firms. Their central investment thesis revolves around identifying key factors that dictate the long-term returns of individual stocks, allowing them to reduce downside risk and enhance investment performance.
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