Connor, Clark & Lunn Financial Group Introduces New Quantitative Equity Strategies for Non-US Investors

In a significant advancement for global investment opportunities, Connor, Clark & Lunn Financial Group has expanded its UCITS offerings by adding two new quantitative equity strategies specifically designed for non-US investors. This move underscores CC&L Financial Group's commitment to innovative investment solutions and enhancing its existing portfolio to better serve international markets.

Overview of the New Strategies


The newly introduced strategies include a Global Small Cap Equity Strategy and a Global Equity Strategy, both of which are managed by Connor, Clark & Lunn Investment Management Ltd.’s esteemed Quantitative Equity Team. Leveraging a robust quantitative investment process, these strategies are aimed at outperforming their respective benchmarks: the MSCI ACWI Small Cap Index (net) and the MSCI ACWI Index (net) throughout various market cycles.

Investment Philosophy and Approach


CCL Investment Management, which was established in 1982 and has grown to be one of Canada's leading independent investment management firms, applies systematic strategies designed to create value across fluctuating market environments. The Quantitative Equity Team, consisting of 80 investment professionals, continually evolves its investment processes through innovative technology and new alpha perspectives.

Jennifer Drake, co-head of the Quantitative Equity Team, emphasized the team's extensive experience, stating, "We have been managing quantitative portfolios for over two decades and are constantly enhancing our process to deliver results for our clients." This dedication to improving investment outcomes demonstrates their steadfast focus on client success.

Expanding International Access


With the introduction of these two additional strategies, CC&L Financial Group is not only broadening its investment suite but is also making these options accessible to a wider array of investors in Europe and beyond. The firm recognizes the growing interest in global equity from non-US investors and aims to meet this demand with tailored investment opportunities.

CCL Financial Group Background


CCL Financial Group is a multi-affiliated independent asset management firm with over 99 billion USD in assets under management. The organization prides itself on providing a comprehensive range of traditional and alternative investment solutions through its affiliate structure, allowing its investment managers to focus on performance without distractions from operational complexities. This strategic approach has established CC&L Financial Group as a prominent player in the asset management landscape.

Conclusion


As global markets evolve, the need for flexible and diverse investment strategies becomes increasingly crucial. The addition of these quantitative equity strategies by Connor, Clark & Lunn Financial Group reflects their ongoing commitment to meeting the dynamic needs of investors, especially those outside the United States. Potential investors looking for innovative and effective investment solutions now have greater access to strategies designed to capitalize on international market opportunities. For more detailed information on these strategies, interested parties are encouraged to visit CCL's official website or consult their financial advisors.

Topics Financial Services & Investing)

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