Gerstein Fisher One of Barron's "Top 100 Independent Financial Advisors" For Seventh Consecutive Year

8/30/16

NEW YORK--(BUSINESS WIRE)--Investment management firm Gerstein Fisher today announced that Chief Investment Officer Gregg S. Fisher has been named to Barron’s America’s Top 100 Independent Financial Advisors for 2016, with a rank of 12, up from 14 in 2015 and 17 in 2014. These rankings reflect the volume of assets overseen by the advisors and their teams, revenues generated for the firms, and the quality of the advisors’ practices. This is the seventh consecutive year that Gerstein Fisher has appeared on the list.

“We could not be more pleased to once again be included as one ofBarron's top independent financial advisors,” said Mr. Fisher. “Providing our clients with unbiased counsel and thoughtful, research-based investment strategies remains our central focus, and it’s an extra reward when we are recognized within our industry for serving our clients well.”

In addition to its broader advisory services, Gerstein Fisher leverages a proprietary Multi-Factor® approach to provide investors with diversified exposure to growth-oriented and real estate securities. This quantitative, model-based methodology is designed to add value over benchmarks by tilting portfolios toward investment characteristics, or “factors” that include, but are not limited to, profitability, price momentum, relative valuation and company size.

The Gerstein Fisher Multi-Factor® Growth Equity Fund (GFMGX) invests in U.S. growth companies, the Gerstein Fisher Multi-Factor® International Growth Fund (GFIGX) invests in international growth companies, and the Gerstein Fisher Multi-Factor® Global Real Estate Securities Fund (GFMRX) is one of very few global REIT funds to employ a quantitative management approach.

About Gerstein Fisher

Gerstein Fisher is an investment management firm headquartered in New York City. Founded in 1993 by Chief Investment Officer and Portfolio Manager Gregg S. Fisher, the firm manages assets using a quantitative, Multi-Factor® approach grounded in economic theory and time-tested academic research. Drawing on a deep understanding of both market dynamics and investor behavior, Gerstein Fisher has more than two decades of experience managing client portfolios. For more information, please visit www.GersteinFisher.com, @GersteinFisher.

About Gerstein Fisher’s Multi-Factor® Investment Approach

Gerstein Fisher’s Multi-Factor® investment approach uses a quantitative methodology designed to offer core asset class representation plus the potential for strong, consistent results for investors with a long-term investment horizon. This approach can leverage market-based information to help identify securities with the potential for higher expected returns.

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