AQR Capital Management Achieves Double-Digit Returns in 2024, Outperforming Sector Index

AQR Capital Management, managing $189 billion, posted double-digit returns in 2024 across its flagship strategies, surpassing the sector index's 2.5% gain. This performance highlights strong execution despite a challenging environment for trend-following strategies.

AQR Capital Management, a prominent hedge fund managing $189 billion in assets, has reported impressive double-digit returns across its three flagship strategies for 2024. This outstanding performance significantly eclipses the broader systematic hedge fund index, which managed just over a 2.5% return according to the Societe Generale indices.
Cliff Asness, Co-Founder, Managing Principal, and Chief Investment Officer of AQR Capital Management, speaks at the Milken Institute Global Conference in Beverly Hills, California, U.S., May 2, 2016. REUTERS/Lucy Nicholson/File Photo
Cliff Asness, Co-Founder, Managing Principal, and Chief Investment Officer of AQR Capital Management, speaks at the Milken Institute Global Conference in Beverly Hills, California, U.S., May 2, 2016. REUTERS/Lucy Nicholson/File Photo
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