Meridian provides high net worth and insitutional investors with a sophisticated, multi-strategy, multi-manager investment portfolio designed to achieve an optimal balance of upside return potential and downside protection.

A distinctive feature that sets Meridian apart from other fund-of-hedge fund managers is its clearly defined proprietary approach of assigning underlying investments into risk classes based on qualitative and quantitative factors. This approach ensures a disciplined decision making process focused on the long-term and not compromised by overreaction to short-term market volatility. In particular, Meridian’s investment philosophy is based on the belief that while investors may desire particular short-term performance characteristics, investment programs must provide value-added over the long-term.