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Portfolio Management

We believe that portfolio management is key to achieve consistent, risk-adjusted returns.  We manage expected active risk relative to the designated objective and shift the risk budget to capitalize on opportunities. Portfolio decisions are quantitative and model-driven, which eliminates subjective biases.

Distinctive Characteristics
Our portfolio managers personify what we feel are the best investment attributes: financial acumen, diverse perspectives, and logical thought—systematically applied to create truly superior portfolio strategies.

Team Approach Strategy
Each Mellon Capital team member represents our firm wide values
and, consequently, is highly valued for his or her individual and shared contributions to our success. We work together and celebrate together as one team.


 Press Box
Mellon Capital Launches Long Bond Strategy to Help Pension Funds Protect Against Market Volatility [2/10/09]
Mellon Capital Celebrates 25th Anniversary; Launches Strategy that Invests in Wide Range of Asset Classes [9/2/08]

 

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