QUANTstudio is a multi-asset multi-horizon quantitative investment management firm. We consider research as pivotal and rely on sophisticated financial constructs, quantitative methods, machine learning and fully automated IT infrastructure to systematically identify and exploit trends and inefficiencies across liquid global financial markets.

Our research activities encompass digital assets, an emerging asset class primarily related to Distributed Ledger Technologies, blockchains, and disruptive FinTech.

 

WE IMAGINE POSSIBILITIES AND APPLY PROBABILITIES

WE GO WHERE THE DATA LEADS US

WE ARE GROWTH HACKERS

 

 

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SYSTEMATIC APPROACH

QUANTstudio has been researching, developing, and managing algorithmic trading strategies since 2012. 

Our top priority is the preservation of capital supported by extensive market analysis focused on fundamental inter-market relationships. 

We target absolute returns with moderate volatility and low correlations to traditional asset classes, together with exceptional liquidity and transparency. 

 

 

FULL TRANSPARENCY

We drive intellectual rigor and integrity in system design and execution. Our modus operandi provides clients complete operational control and the assurance of 100% transparency, together with end of day transaction and P&L reporting. 

The management team comprises seasoned professionals with decades of experience as quantitative analysts and fund managers at leading hedge funds and investment banking institutions.

 

 

MAN & MACHINE

MAN & MACHINE

Our multi-asset systematic strategy approach encompasses sophisticated and robust risk management systems to dynamically reallocate risk to target a finely calibrated, constant risk profile. Our independence enables us to allocate capital to high quality trading systems.

The product is a blend of the best of man and machine, employing high-tech systematic trading with the savoir faire of our experienced trading team.