Verition Fund Management LLC (“Verition”) is a multi-strategy, multi-manager hedge fund founded in 2008. They focus on global investment strategies aiming for absolute returns and low correlation to traditional and alternative asset classes. Their approach involves dynamic capital allocation across various strategies based on market views and opportunities. Verition seeks to achieve attractive risk-adjusted performance by recognizing market inefficiencies and undervalued investment opportunities, while maintaining a strong focus on risk management and capital preservation. Verition emphasizes a diversified portfolio construction with strategies that are often hard-to-access through traditional structures. This provides a unique set of exposures uncorrelated to each other and the broader markets. The firm promotes collaboration and cross-pollination of ideas across its investment teams to maximize efficiency and creativity. A multi-tiered, iterative risk management system, comprising both internal and external risk management, is designed to navigate through various market cycles, allowing investment teams direct access to Senior Management for fluid decision-making in rapidly changing markets. Their strategies span a broad range, including Credit, Fixed Income & Macro, Convertible & Volatility Arbitrage, Event-Driven, Equity Long/Short & Capital Markets, and Quantitative Strategies. The firm emphasizes a disciplined approach, a collaborative environment with an entrepreneurial spirit, and nimble capital allocation. Their risk management approach is sophisticated and multi-tiered, utilizing both internal and external analysis.
Preferred startup development maturity for initial funding deployment.
Credit, Fixed Income & Macro, Convertible & Volatility Arbitrage, Event-Driven, Equity Long/Short & Capital Markets, Quantitative Strategies
Core thematic spaces, technologies, and target market segments of interest.
Standard financial allocation per investment round.
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