Quantitative Investment Strategies

We provide highly liquid and transparent multi-asset/multi-strategy funds tailored for Japanese institutional investors and pension funds.

Philosophy

Approximately 15 years of investment experience in structured products, the longest among all Japanese managers

With years of experience managing QIS, we pride ourselves on staying attuned to market dynamics, striving to offer advanced products such as alternative risk premia and overlay strategy.

Uniquely developed and implemented in-house quantitative models specifically focused on the allocation of our multi-QIS strategies

We optimize portfolios by applying our proprietary quant approach, adjusting strategies, and weightings based on experience and market insights.

Transparent and relatively low-cost multi-QIS strategies for beneficiaries through innovative schemes

We combine expertise in strategy selection, product composition, and portfolio management to maximize investor returns, together with independent monitoring by our compliance and risk teams.