Expand the fundamentals with additional sources of information and use the power of your data to achieve a new level of accuracy in your valuations. We design cutting-edge valuation models based on heterogenous data sources, providing you with accurate and valuable knowledge.
We develop streamlined quantitative analytics of financial market data, providing up-to-date insights about idiosyncratic and systemic risks. Use this invaluable information to improve your investments and help manage your risks.
We design quantitative approaches to portfolio optimization and asset management built on mathematical and computational models. Manage your portfolio with efficient implementations based on theoretically sound and rigorously backtested investment strategies.