Vectors Asset Management

SEC-regulated
Registered investment advisor
Vectors Research Management, LLC, also known as Vectors Asset Management, is an SEC Registered Investment Adviser founded in August 2004. The firm specializes in providing equity and fixed income investment management services to institutions and high net worth individuals on both discretionary and non-discretionary bases. They offer services such as portfolio management, investment analysis, valuation consulting, and risk management to major financial institutions. Vectors Asset Management's investment strategies include investments in various fixed income securities like US Treasury, Mortgage Backed Securities, and equity securities including individual company equity securities, REITs, ETFs, and mutual funds. The firm's principals collectively have over 39 years of investment experience and leverage the resources of Andrew Davidson & Co., a provider of risk analytics and consulting to financial institutions. Vectors Asset Management manages approximately $845 million in total client assets, with a minimum initial investment of $10,000,000 for institutions and $1,000,000 for individuals. The fee structure is based on a percentage of assets under management, with fees paid quarterly in arrears. The firm does not receive performance-based fees and acts in a fiduciary capacity in the best interests of clients. Clients have the option for discretionary or non-discretionary account management, and the firm provides ongoing client reviews and portfolio analysis. The investment philosophy of Vectors Asset Management focuses on risk management, security valuation, and investment strategies tailored to each client's goals and objectives. The firm's team consists of experienced professionals with backgrounds in finance, securities analysis, and risk management. The firm's Chief Compliance Officer oversees the compliance program, ensuring adherence to securities laws and regulations. Vectors Asset Management does not receive compensation for the purchase or sale of securities and has no disciplinary history related to investment clients.
This firm is a Regulated Investment Advisor
Fiduciary duty to act in the best interests of your finances
Regulated by The Securities and Exchange Commission (SEC)
Transparent about fees and never take commission when recommending a financial product
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