Quantitative strategies: 
new sources of return for institutional investors 

Quoniam has been an innovation leader in data-driven asset management for 25 years. We combine science and technology to offer diversified investment styles to institutional investors.

Innovative solutions for a challenging environment 

Investors today face a number of complex challenges: inflation and rising interest rates, volatile economic and political conditions, increasing regulation, rapid technological advances, and heightened volatility and frequent trend corrections. New sources of return and style diversification are essential.

We use data-driven methods to explore new sources of return and translate them into customised solutions for professional investors. The result is innovative investment concepts that align with the client’s asset allocation.

The advantages: 
  • Diversification in investment style: we use academically and empirically derived sources of return to differentiate ourselves from traditional asset management.
  • Use of new research technologies: machine learning and text analytics allow us to uncover information that is not yet priced in.
Our strategies

Equities   

Holistic analysis creates opportunities 

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Fixed Income

Diversification as a success factor

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Multi-Asset

Exploit opportunities, reduce risks 

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Our investment approach

Identify and exploit performance potential

Science-based

We construct portfolios with a carefully balanced risk-return profile. This is based on scientifically derived models that are continuously developed by our research team. Thus, we focus on medium- and long-term diversification.

Data-driven decisions

The ability to analyse large amounts of data quickly and precisely is the basis for our systematic, long-term and reliable investment decisions.

100% institutional

We specialise in tailor-made mandates and individual portfolio solutions that reflect your guidelines: from the investment universe, risk budgets and instruments to the implementation of sustainability criteria.

Our methodology 

The Quoniam investment approach 

Behind all our strategies is the model-based quantitative Quoniam investment process. This allows us to objectively calculate the risks and sources of returns for all portfolio components at any time.

Source: Quoniam Asset Management GmbH
Sustainability

We consider ESG aspects in all our investment strategies. Find out how we implement sustainable investing.

Jorre Willemse

Contact

Jorre Willemse
Head of Client Relations International
T +44 (0) 203 2162 427

 

Video
April 2024
Navigating emerging markets with a MinRisk strategy

How can investors unlock the untapped potential of emerging markets while mitigating risk? What strategies are proving effective in navigating the complexities of these dynamic economies? In an interview with Jonathan Clenshaw, Mark Frielinghaus, CFA, Executive Director Equities, delves into the realm of emerging market equities, the rationale behind a min risk approach, the significance of diversification, and the integration of sustainability factors into investment strategies.

Article
April 2024
Best Bond Global Corporates EUR Fund Over 10 Years: Quoniam Fund Selection SICAV – Euro Credit EUR A dis

The Quoniam Fund Selection SICAV – Euro Credit EUR A dis has been awarded as winner in the category “Best Bond Global Corporates EUR Fund Over 10 Years” by the LSEG Lipper Fund Awards United Kingdom 2024.

Article
April 2024
Market commentary equities: Bye-bye growth, hello value? We answer our investors’ questions

Many of our clients have asked us what positioning the various equity factors of our factor investing strategies suggest in the current market environment. Our portfolio manager Andjelka Bannes, CFA, shares and explains our findings on growth, quality, value and low-volatility equities in the context of dynamic markets.