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Annual · values202520242023202220212020201920182017
Gross Margin
Operating Margin23.43%26.80%24.85%40.24%27.84%24.97%30.54%9.03%8.00%
EBITDA Margin32.05%
Net Margin14.19%16.81%15.42%24.11%158.15%39.90%27.32%14.70%0.47%
Current Ratio
Quick Ratio
Debt / Equity6.84-12.73-22.731.044.972.93
ROE163.68%-465.74%-4706.82%74.58%195.55%101.64%
ROA11.82%12.09%10.76%19.39%115.89%20.79%15.77%8.78%
Asset Turnover0.830.720.700.800.730.520.580.60
Book Value / Share0.95-0.50-0.224.691.251.25

Acadian Asset Management Inc. is a publicly traded holding company for Acadian Asset Management LLC, a global investment management firm headquartered in Boston, Massachusetts. The group focuses on providing institutional investors with systematic, quantitatively driven investment strategies across equity and multi-asset classes. Its services are designed for clients such as pension funds, sovereign wealth funds, endowments, foundations, and other professional asset owners seeking disciplined, data-based portfolio management. Through its operating subsidiaries, Acadian Asset Management Inc. delivers an array of mandates that may include long-only, long-short, and factor-based approaches, often tailored to specific risk and return profiles. The firm leverages extensive research, statistical modeling, and large-scale data processing to construct and manage portfolios in developed and emerging markets. Acadian Asset Management Inc. plays a specialized role in the asset management industry by concentrating on systematic, research-intensive solutions that integrate quantitative techniques with global market coverage for sophisticated institutional clients.