Quantillion has proven expertise in wealth management, modeling, portfolio analytics, wrapping investment portfolios into off-the-shelf products, insurance, and creating a complete asset management ecosystem.
A truly scientific approach to the portfolio (asset) management
The configuration of the financial world is changing towards the personalization of decisions and transactions from a single account by automating and digitizing all processes. Legislation is harmonizing with fintech reality and Quantillion is seeing a rapid progression from the legalization of electronic signatures to the use of blockchain technology to control transactions. Banks and other financial institutions are becoming conduits for of financial technology through application interface architecture.
Digital financial ecosystem
Having identified this trend, we are among the first to create and develop a digital financial ecosystem, at the heart of which is mathematical modeling based on high-level big data analysis with mandatory insurance for all selected models.
Fully secure automation of all processes with redundant database storage systems and the use of distributed ledger technology for transaction accounting enables us to be technically commutable with the most closed banking back-end systems.
Logistic chain
Our supply chain (super app) includes all major information providers, storage and processing services (data centers), exchanges, brokers, banks, insurance companies, hedge funds, management companies, and several research and development centers.
By connecting to this chain, the clients gain access from a single account at their bank, applying all the security systems of their anchor bank, to all the services and tools available in the ecosystem, both for self-management of their wealth and for the purchase of managed insured models.
A scientific approach
Quantillion's team studies many methodologies in asset management and builds a broadly diversified multi-strategy portfolio. We create and improve investment processes using quantitative metrics and automated investment and risk management systems.
Non-correlated models
We focus on various asset classes, including global equities, foreign exchange, and commodity-linked derivatives and interest rates, when building models and creating balanced portfolios. We work with liquid global markets, evaluating new models and strategies that improve our risk and return performance.
Aim to achieve investment objectives
Quantillion's asset management expertise includes portfolios that can meet any investment objective: capital preservation, long-term investment planning, generating income that does not correlate with the market, protecting capital during market stress, and generating investment income in various currencies.