Quantitative Strategies

Investment in highly liquid assets with a strategy based in mathematical analysis and algorithms. We target to generate alpha via subdued volatility returns to offer investors consistent sharp returns with positive impact to diversified portfolios.

Quantitative Strategies

Consistency of Results

The strategy identifies market asymmetries and inefficiencies, searching to capture opportunities in order to generate returns to our investors using technology and data science.

Investment Fund

  • Efficiency

    Continuous evolution through scalability in data collection.

  • Process

    Use of mathematical models for alpha generation.

  • Diversification

    Uncorrelated strategy in relation to other markets.