Vericimetry has an academically based, quantitatively structured investment philosophy designed to deliver targeted asset class returns.
Vericimetry’s quantitatively structured strategies are highly diversified and maintained to deliver the targeted asset class exposure. The investment strategies have reasonably priced management fees and low turnover to enhance net returns to the investor.
Vericimetry is committed to limit the growth of its assets under management once optimal capacity for a given strategy is achieved. Vericimetry’s strategies will be closed to new investment at the appropriate time in order to provide maximum targeted asset class returns.