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Axiom·Quantitative Investments

Information

Frequently asked questions.

Brief answers to the questions we are most often asked. Anything not covered here is best addressed through the contact form, or through the offering documents made available to qualified prospective investors.

Who is eligible to invest with Axiom Quantitative Investments?
Our funds are private investment vehicles available only to “accredited investors” under Rule 501 of Regulation D and, where applicable, “qualified purchasers” under Section 2(a)(51) of the U.S. Investment Company Act of 1940. We are not able to accept retail investment, and nothing on this website constitutes an offer or solicitation. Eligibility is confirmed through the subscription process described in the confidential offering documents.
What strategies do you currently run?
We operate a multi-strategy systematic platform spanning equity market-neutral, hedged long/short equity, ETF options programs, statistical arbitrage, and a risk-parity overlay. Investors may access these as a multi-strategy portfolio or, in certain cases, as standalone programs subject to capacity. See Strategies for an overview.
How is performance reported?
Performance, attribution, and risk reporting are made available to investors on a monthly basis through our investor portal, supplemented by quarterly written commentary and an annual audited financial statement prepared by our independent fund administrator and auditor. We do not publish performance information on this website.
What are the fee terms?
Fee terms vary by program, vintage, and commitment size. The confidential private placement memorandum sets out the applicable management fee, performance allocation, high-water mark, and liquidity terms in full. We are happy to provide this on request to qualified prospective investors.
What is the minimum commitment?
Minimum subscription amounts are set out in the offering documents for each program. We are generally able to accommodate institutional allocators across a range of commitment sizes. Please contact us for the current terms.
What is the redemption / liquidity profile?
Liquidity terms vary by program and reflect the underlying strategy capacity and instrument liquidity. Our flagship market-neutral and options programs offer monthly liquidity subject to standard notice periods; longer-horizon programs may carry quarterly liquidity. Specifics are described in the offering documents.
Who are your service providers?
We engage independent third-party providers for fund administration, audit, custody, and legal counsel. The names of our current service providers are disclosed in the offering documents and on the relevant Form ADV filings. Operational due diligence questionnaires are available on request.
Are you registered with the SEC?
Axiom Quantitative Investments operates in compliance with applicable U.S. federal and state securities laws. Details of our registration status, including any applicable Form ADV, are provided to qualified prospective investors during diligence and are referenced in our disclosures.
How do I get in touch?
Please use the contact form or write to us directly. We respond to all serious inquiries from accredited investors, institutional allocators, and qualified service providers within two business days.