We were pioneers of econophysics and innovators by applying research and academic techniques to finance and economics in order to create consistent returns not correlated to wider market performance and delivered within appropriate risk parameters.
Data proliferation is a modern phenomenon that looks set to continue. This combined with huge technological change, means we believe structural change in finance is inevitable. Systematic techniques will become the norm in asset management and firms with the research capability and technology to harness data will be winners. Our aim is to remain at the vanguard of this revolution, whilst staying true to our philosophy and culture.