Mellon is a global investment specialist that offers a full suite of solutions across equity, fixed income, multi-asset, and index. Backed by quality research and robust infrastructure, the firm's investment disciplines include active equity, active fixed income, index, smart beta, and multi-asset and multi-factor investing. Its investment strategies combine qualitative insights and interpretations of macro trends with quantitative models, data, and analysis.
Mellon's fixed income efficient beta strategies leverage innovative trading protocols to help optimize portfolio implementation—eroding historical market inefficiencies.
Responsible investing harnesses the potential for long-term value creation, supporting Mellon's belief that financial markets can be a positive force for change.
Mellon's income investment solutions are built with a single goal: to arrive at the targeted yield with the least amount of risk possible.
Mellon's thematic portfolios provide an avenue to invest in the transformational trends that will shape our future.
Assets under management: $644 billion (as of March 31, 2021)