DBDataBane
FirmsMarketsPeopleIntelligenceNewsDealsSign inGet access
DataBane · private markets intelligence
PlatformAboutData methodologyPrivacy NoticeData RemovalContact Us
+ Add a third firm to this comparison
Home/Compare/Point72 Asset Management vs Fidelity Investments
← Back to firms

Point72 Asset Management vs Fidelity Investments

A side-by-side comparison of Point72 Asset Management and Fidelity Investments across firm type, scale, strategy, and geography.

Scale comparison

Point72 Asset Management$58.5B
Fidelity Investments$7.8T
Insight

Fidelity Investments manages roughly 133.3× the assets of the other firm.

Asset-class exposure

Fixed Income
Left bar: Point72 Asset ManagementRight bar: Fidelity Investments
Insight

No overlapping asset classes — these firms operate in entirely separate markets.

Key observations

  • • Fidelity Investments is the largest by AUM at $7.8T — 133.33× Point72 Asset Management ($58.5B).
  • • Fidelity Investments is the most established (founded 1946), 68 years before Point72 Asset Management (2014).
  • • Fidelity Investments has the broadest mandate — active across 6 asset classes vs 4 for Point72 Asset Management.
  • • All 2 firms invest in Venture Capital, Private Equity, Private Credit.
  • • Point72 Asset Management is the only one here in Hedge Funds.
  • • All 2 are headquartered in United States.
  • • Point72 Asset Management's network is more connected (76/100 vs 8/100), indicating broader relationship diversity.
  • • Strategy overlap is 15% (Jaccard) — 6 shared: Late-stage, Growth, Growth Equity and 3 more.
  • • Overall similarity is 24%, driven by 6 shared strategies, 3 shared asset classes, adjacent AUM band.
24%Similarity score6 shared strategies · 3 shared asset classes · adjacent AUM band · same country
Point72 Asset ManagementFidelity Investments
Basics
Firm typeAsset ManagerAsset Manager
CountryUnited StatesUnited States
Founded20141946
Firm age12 yrs80 yrs
RolesGpGp, Advisor, Lender
Scale & AUM
AUM$58.5B$7.8T
Market positionLarge ($20–100B)Mega ($500B+)
AUM ratio133.3× larger
Strategy & Focus
Investment styleMulti-assetMulti-asset
DiversificationBroadBroad
Strategies23 — Long/Short Equity, Multi-Manager / Pod, Quantitative, Global Macro23 — Digital Assets / Crypto, Direct Lending, First Lien, Senior Secured
Asset classeshedge funds, venture capital, private equity, private creditfixed income, private equity, private credit, real estate, other, venture capital
Shared strategies6: Late-stage, Growth, Growth Equity
Shared asset classes3: venture capital, private equity, private credit
Geography
Geographic biasGlobalNorth America
RegionsGlobal, Global, JapanGlobal, North America, North America, United States
Shared geographiesGlobal, Global
Fund Portfolio
Published funds817
Largest fundPoint72 Hyperscale inaugural fundFidelity Credit Opportunities Fund II LP
Vintage range—2020–2026
Fund statusesFundraising (7), Closed (1)Investing (17)
Team
Total contacts4418
Team-to-AUM ratio0.8 per $B0.0 per $B
Network & Relationships
Connectivity76/1008/100
Network strength81/1001/100
Relationships531
Relationship densityVery highLow
Network maturityEmergingEmerging
Similarity
Overall similarity24%
Strategy overlap15%
Asset class overlap43%
Geography overlap25%

Frequently asked

What is the difference between Point72 Asset Management and Fidelity Investments?

Point72 Asset Management is a asset manager based in United States, while Fidelity Investments is a asset manager based in United States. This page compares their firm type, assets under management, strategies, and geographic focus.

Which is larger, Point72 Asset Management or Fidelity Investments?

By reported AUM, Fidelity Investments is larger ($58.5B vs $7.8T).

Point72 Asset Management profile →Fidelity Investments profile →

Explore more

All firmsBuild a custom comparisonMore Asset Manager firmsFirms in United StatesMarket intelligenceLatest news