Designed for institutional money managers seeking superior risk-adjusted returns in the small, mid and micro cap landscape of equity markets, Cirrus products are strategic in nature and idea driven, focusing on both relative performance and absolute returns.

We employ multi-faceted valuation and analytic techniques along with proprietary quantitative tools to manage data on a deep universe of stocks that are typically less liquid and under-followed. Our analysis leverages sophisticated modeling which forecasts industry and sector rotation, changes in risk appetite and factor behavior across the capital markets spectrum.

Timely detection of market inefficiencies and anticipating turns in volatility are essential to superior stock selection and outperformance. Our products equip active managers with the tools and strategies to transform such challenges into opportunities to rise above the average investor.

Learn more about Cirrus Research's Approach and Methodology.

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