Founded in 2005, Magnetar Capital is a leading alternative asset manager. We seek to deliver consistent, long-term risk-adjusted returns by investing in and across alternative asset classes.
In 2012, Magnetar was ranked third overall in Institutional Investor’s Alpha annual Hedge Fund Report Card, a survey of investors who rated the largest 100 hedge funds in the areas of alpha generation, risk management, alignment of interests, transparency, infrastructure, independent oversight, liquidity terms and investor relations.
Magnetar operates in and across three major investment strategies:
- Event Driven
- Fixed Income
Historical Assets Under Management
Approximate Ending AUM ($ billions)1
1 Reflects approximate investor capital managed by Magnetar and its affiliates.