Consider the funds to fill key roles in a long-term portfolio |
Core holding
|
Diversifier
|
Dampen volatility
|
Low equity market correlation
|
---|---|---|---|---|
PPFYX Putnam PanAgora Managed Futures Strategy | ||||
PPMYX Putnam PanAgora Market Neutral Fund | ||||
PPRYX Putnam PanAgora Risk Parity Fund |
There are no guarantees that any of the strategies indicated will provide protection against investment loss. You can lose money by investing in a mutual fund.
About PanAgora Asset Management
A premier provider of research-driven investment solutions
Founded in 1989 and headquartered in Boston, PanAgora serves global institutions, public and private retirement funds, sovereign wealth funds, endowments and foundations, and sub-advisory partners.
Quantitative methods designed to pursue fundamental insight
PanAgora manages portfolios using sophisticated quantitative techniques that incorporate vast amounts of market information. Innovative research is a key ingredient in differentiating the firm's results. The investment teams strive to understand the underlying factors that influence a security's performance, including company operations, investor behavior, and macroeconomic signals.
"As a firm, we love conducting original, practical research and applying the insights to our client portfolios."
—
ERIC SORENSEN, Ph.D., PanAgora President and Chief Executive Officer
31
years serving investors
131
INSTITUTIONAL CLIENTS GLOBALLY
$36
BILLION IN ASSETS UNDER MANAGEMENT as of September 30, 2020
INCREASED $13 BILLION since September 30, 2010


DIVERSE INVESTMENT CAPABILITIES
- Active equity strategies
- Alternative strategies
- Asset allocation and customized mandates
- $19.3B
- $14.0B
- $2.3B

Learn more about PanAgora
PanAgora's experts are committed to providing innovative research through theory and practice. Read PanAgora's research or visit panagora.com.