New York
SECOR runs a multi-strategy, quantitative hedge fund with more than 35 underlying sub-strategies, offering investors exposure to a variety of asset classes, geographies, and time horizons. Approximately 45% of the strategy’s ex ante risk contribution is from single-name market neutral equity strategies with the balance in strategies trading traditional macro markets such as financial and commodities futures, FX, rates and volatility instruments, predominately (but not exclusively) in a relative value fashion. The strategy has been in continuous operation since September of 2012.
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