Univest Capital
Management offers active, risk controlled portfolio management
services versus a broad selection of US equity and market unbiased
benchmarks. Univest Capital's research process focuses on the
early identification of equity factors. Many years of experience
in quantitative research, trading, and portfolio construction
have provided our investments with unique insights for generating
superior long-term results relative to each client's benchmark.
The firm manages portfolios
against twelve benchmarks, including the S&P 500, S&P
Mid Cap, Russell 2000 and various large growth, large value,
small growth, and small value indices.