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Be Different

Go Beyond Traditional Asset Management For Alpha

Think Differently to Achieve Superior Results 

Trowbridge Capital Partners is a quantitative asset manager that thinks differently. With over two decades of quantitative research, our goal is to help investors maximize long-term investment returns while mitigating risk.  

 

Our core philosophy is based on the belief that risk management drives long-term alpha. We utilize our unique and robust modeling to diversify away from the crowd by avoiding commonly used data.

Our Value Proposition

Trowbridge mandated strategies seek to manage downside risk, while seeking to produce alpha over a market cycle and taking advantage of market trends in mid to large-cap equities. Our belief is robust risk management doesn't have to sacrifice returns.

 

Trowbridge has a distinctive process that incorporates 20 years of statistically driven mathematical modeling that helps to look at data differently than commonly followed investment strategies.

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