Parametrica Asset Management
博煊资产管理有限公司

Parametrica Asset Management is an institution asset management group that employs quantitative model-driven investment strategies with a primary focus on global equity markets.

Strategy & Features

 

Limited Market Exposure

With extensively diversified long and short position, hedging market risk and gaining profit primarily from Alpha.

 

Quantative Model driven

A pool of quantitative models are continuously developed by statisticians and optimized for portfolio

 

Automated Execution

Tailor made trading algorithm with direct market access

Contact Info

Qualified investors interested in knowing our products please contact us.

Leave a Message

Important!

Make sure you qualify as Qualified Investor before invest to us