- Point72 Asset Management was founded in 2014 by Steve Cohen, managing US$30 billion in assets.
- Achieving superior risk-adjusted returns through a disciplined, research-driven approach is at the core of Point72’s hedge fund and investment strategy.
- Point72 is renowned for its highly competitive compensation packages adn the commitment to nurturing talent through an investment analyst training programme Point72 Academy.
- On Endowus, you have access to private market offerings managed by top-tier managers. Contact our private wealth arm at Endowis via privatewealth@endowus.com to learn more.
Point72, under the leadership of industry titan Steve Cohen, has cemented its position as one of the most prestigious names in the hedge fund industry.
With a solid track record of fund performance and managing more than US$30 billion, Point72 has proven its resilience during market downturns and crises. In this article, we explore Point72’s winning strategy, the founder Steve Cohen’s investment philosophy, and the secrets behind their thriving investment business.
Point72's history and growth
Steve Cohen started SAC Capital Management with US$ 20 million in assets, following his tenure at brokerage firm Gruntal & Co. Over time, SAC Capital Management implemented various strategies, including quantitative and global macro approaches. In 2013, SAC Capital transformed into a family office following a settlement with the SEC.
Point72’s formation
Point72 Asset Management was founded in 2014, essentially serving as the successor firm to SAC Capital Management.
In 2015, Point72 Academy was launched, initially with the goal of training undergraduates as fundamental long/short investment analysts and gradually becoming a key talent source for Point72.
In 2018, the firm reopened subscriptions to external investors and has since grown from strength to strength. In 2021, Point72’s assets under management surpassed the US$20 billion mark, and added another US$10 billion within two and a half years after. Now, the firm is managing a total of US$33.9 billion as of April 2024.
Point72 boasts over 185 investing teams, with more than 2,800 employees globally. While the firm utilises multiple trading strategies, long/short equity investing remains at the core of Point72’s expertise.
What makes Point72 so successful?
Superior risk-adjusted returns through a disciplined, research-driven approach are at the core of Point72’s strategy. The firm embraces a diversity of investment styles and strategies, empowering its portfolio teams to capitalise on market inefficiencies while adhering to rigorous risk management protocols.
Point72's investment philosophy
- Multi-strategy approach
- Sector specialisation
- Quantitative prowess
- Risk management emphasis
- Global reach
Multi-strategy approach: Point72 employs a multi-strategy approach, leveraging expertise across various asset classes for dynamic positioning and calculated risk-taking. Their strategies encompass equities, macro, credit, quantitative analytics, and more.
Sector specialisation: Point72 maintains a broad investment scope while also developing deep expertise in specific sectors. Their teams of analysts and portfolio managers immerse themselves in industries such as technology, healthcare, energy, and finance. This sector specialisation enables informed decision-making and the identification of undervalued assets.
Quantitative Prowess: Complementing its fundamental analysis, Point72 harnesses the power of quantitative models and data-driven insights. Its quantitative strategies employ advanced algorithms and machine learning techniques to uncover patterns and exploit market inefficiencies. This fusion of human expertise and cutting-edge technology gives Point72 a competitive edge.
Risk management emphasis: Risk management is a core pillar of Point72's strategies. The firm employs sophisticated systems to identify, measure, and mitigate risks across its portfolios. This disciplined approach aims to preserve capital during market downturns while capitalising on upside potential.
Global reach: With a global presence, Point72 has the ability to invest across markets worldwide. This broad geographic scope provides access to a diverse range of investments and opportunities. The firm navigates local dynamics through regional expertise and on-the-ground intelligence.
Point72’s Talent identification and retention
Point72 is renowned for its highly competitive compensation packages, designed to attract and retain top talent. Through its highly selective recruitment process and extensive training programs, the firm cultivates a team of skilled analysts and portfolio managers, fostering an environment of continuous learning and growth.
This commitment to nurturing talent is exemplified by the investment analyst training programme Point72 Academy, recruiting high-calibre undergrads, early-career professionals, or subject-matter experts. The programme has seen the number of applications increasing fifty times over, from 350 for ten seats on the inaugural 2015 Summer Academy, up to 16,000 for 49 seats in 2018.
Who are Point72’s investors?
Point72 Asset Management is an exclusive investment firm catering to a select group of investors. With a focus on alternative investment strategies, the firm attracts institutional investors, ultra-high-net-worth individuals, and family offices seeking superior returns.
Institutional investors
Point72 has established strong relationships with renowned institutional investors worldwide, including sovereign wealth funds, endowments, foundations, and pension funds. These institutions benefit from Point72’s investment philosophy and thorough due diligence process, gaining access to a diverse range of alternative investment strategies managed by the firm's highly skilled portfolio managers.
Ultra-high-net-worth investors
Point72 caters to a select group of (ultra-)high-net-worth individuals and family offices seeking to diversify their portfolios with alternative investments. These investors are drawn to Point72's track record of generating consistent, risk-adjusted returns through its quantitative and discretionary strategies.
By maintaining a highly selective client base, Point72 can focus its resources on delivering exceptional investment performance, personalised service, and tailored portfolio solutions to its valued investors.
How can investors access Point72’s offerings?
While Point72 primarily manages funds for institutional investors and high-net-worth individuals, the firm has recently expanded its offerings to cater to a broader investor base. Through strategic partnerships and innovative investment vehicles, investors can now gain exposure to Point72's expertise and strategies, benefiting from the firm's proven track record and sophisticated investment approach.
For example, absolute return strategies are among the firm’s offerings. This type of strategy focuses on generating a positive return over any period through cycles, which is different from the more common relative return strategies that focus on returns relative to a specific benchmark.
Point72 is among the well-known asset managers that implement these strategies, while other names include Millennium Management, Balyasny Asset Management, Brevan Howard, Eisler, Hudson Bay, LMR, and Schonfeld.
Start your hedge fund investing journey with Endowus Private Wealth
Hedge fund strategies have traditionally been difficult to access and often only available to institutional investors. At Endowus Private Wealth, we have been looking to change this through creating access to hedge funds solutions at a lower cost, and have availed this to our AI clients.
Log in to your Endowus account to unveil strategies managed by Point72 and other alternative investments such as absolute return multi-strategy hedge fund solutions to accredited investors. For more information on Endowus Private Wealth and hedge fund investing, please contact us for a consultation.