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Investments That Stand The Test Of Time
For 5 years MarexPay has provided clients with sound, time-tested investment strategies. We share ideas and information and apply rigorous risk management disciplines, seeking to consistently provide clients with investment excellence and superior service, day after day, quarter after quarter, year after year — making MarexPay, investments that stand the test of time.
Who we are
MarexPay is a broadly diversified asset management organization, with products and services distributed across several lines of business. We manage diverse investments from institutional portfolios to mutual funds, variable annuities to retirement plans, alternative investments to private accounts.
Investment decisions are made by specialized, independent teams of portfolio managers and researchers who have specialized expertise in their asset classes and styles of investing.
Our goal is to consistently provide enduring excellence in investment management and service — to institutional clients as well as individual clients and financial intermediaries. We have repeatedly achieved industry recognition for outstanding service from Dalbar, a financial services rating company.
Building on our experience with many types of investors, we offer investment management approaches that span the full range of investments styles. And we support our clients with exceptional service designed to address their requirements while exceeding their expectations. We look forward to learning more about your needs and to discussing how our strategies can bring sustained success to your investment program.
Specialized teams, shared disciplines
Our portfolio managers and analysts work together in teams that focus on delivering superior results within carefully defined investment styles and within their areas of expertise.
Each team generates its own research and analysis in an environment that encourages independent thinking and decision making. But each team also has access to the best thinking of the other teams, leveraging our research across the entire organization. The result: all ideas are open to challenge and collaboration and sound ideas are shared across teams to the benefit of all clients.
While our team structure is decentralized, we maintain a centralized and rigorous risk management process. Trades are monitored on a daily basis, with regular analysis of performance attribution by style, valuation, dispersion and other factors. And if a portfolio manager underperforms, the manager understands why — and can develop a plan to recover.
Our goal is superior performance relative to the competition, without the valuation and style drift that can result in unacceptable volatility and disrupt asset allocation strategies.
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