Roquant is a fintech platform with proprietary algorithms that systematically analyses financial data for exceptional trading performances.
Roquant aggregates large sets of historical and forward-looking data, "scrubs" the information, and generates definitive trading signals.
These quantitative signals are fed into a Portfolio Management System that allocates and manages risk.
Through this quantitative and repetitive approach, Roquant has consistently generated exceptional returns.
Roquant does not manage third-party client monies, but works with various asset managers and financial institutions to improve their deliverance of returns.
Reach us at x@roquant.com
逻宽是一个拥有自有算法的金融科技平台,可以系统地分析金融数据以获得卓越的交易表现。
逻宽汇总了大量历史数据和具有前瞻性的数据进行分析整理并生成明确的交易信号。
这些量化信号被输入到一个分配和管理风险的投资组合管理系统中。
通过这种量化和反复整合分析的方法,逻宽在两年多的时间里持续保持 40% 的年化收益(每月 3.5%收益)。在复杂多变的市场环境下依然获得了夏普比率为1和索提诺比率为1.4 的历史业绩。
历史业绩来自逻宽使用自有资本的交易。
逻宽不管理第三方资金,但与第三方资产管理公司和金融机构合作,以改善他们的投资业绩。
联系方式:x@roquant.com
Roquant is an analytics fintech platform with proprietary algorithms that systematically analyses financial data for exceptional trading performances.
Roquant aggregates large sets of historical and forward-looking data, "scrubs" the information, and generates definitive trading signals.
These quantitative signals are routed into a Portfolio Management System that actively allocates and manages risk.
Through this quantitative and repetitive approach, Roquant has consistently generated exceptional returns.
Roquant does not manage third-party client monies but works with various asset managers and financial institutions to improve their deliverance of returns.
Reach us at x@roquant.com
逻宽是一个拥有自有算法的金融科技平台,可以系统地分析金融数据以获得卓越的交易表现。
逻宽汇总了大量历史数据和具有前瞻性的数据进行分析整理并生成明确的交易信号。
这些量化信号被输入到一个分配和管理风险的投资组合管理系统中。
通过这种量化和反复整合分析的方法,逻宽在两年多的时间里持续保持 40% 的年化收益(每月 3.5%收益)。在复杂多变的市场环境下依然获得了夏普比率为1和索提诺比率为1.4 的历史业绩。
历史业绩来自逻宽使用自有资本的交易。
逻宽不管理第三方资金,但与第三方资产管理公司和金融机构合作,以改善他们的投资业绩。
联系方式:x@roquant.com