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MOOR FUNDS

Moor Funds is an investment firm dedicated to delivering consistent benchmark outperformance for a wide range of investors. It applies systematic,...

MOOR FUNDS

Moor Funds is an investment firm dedicated to delivering consistent benchmark outperformance for a wide range of investors. It applies systematic, factor-driven strategies enhanced by machine-learning and builds disciplined portfolios that generate repeatable alpha and superior risk-adjusted multi-period returns. The firm partners with institutional investors, public pension funds, university endowments and family offices.

General information

Firm type

RIA

Location

City

New York

Principals

Edwin Hagan

Managing Partner and CIO

Igor Kan

Partner, Head of Risk Management

Oliver Gabbay

Partner

Vijay Selvam

Senior Advisor

Sector focus

US and International equities

Frequently asked questions

Who runs investment decisions at MOOR FUNDS?

No named principals or investment decision-makers for MOOR FUNDS are identifiable in public records. The firm has not disclosed leadership in any filing, press release, or media outlet as of mid-2026.

What investment strategy does MOOR FUNDS pursue?

No information is publicly available about MOOR FUNDS's investment strategy, asset-class mix, or stage preferences. The firm has not published any strategy document or communicated through media channels.

Does MOOR FUNDS maintain a website or LinkedIn presence?

As of mid-2026, MOOR FUNDS does not have a publicly accessible website or a verified LinkedIn company page. The absence of these channels limits transparency into its operations.

Profile maintained by using OSINT (open-source intelligence), regulatory filings, licensed data partners, and verified direct submissions. Read the methodology. Last updated: . Continuous refresh with full update cycles at least every 30 days.

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