Our Firm
Santa Barbara Quantitative Strategies, LLC is a quantitative
multi-strategy investment manager that seeks to deliver
strong risk adjusted alpha returns with low correlation
to other investments. The firm has assembled a multi-disciplinary
research team with extensive experience in portfolio
management, time series analysis, statistical modeling,
and nonlinear physics. The team has developed advanced
proprietary technologies, including a fully automated
trading engine, and attempts to systematically identify
and exploit non-random price behavior from high frequency
global financial data.
Our Mission
Santa Barbara Quantitative Strategies is focused on
providing superior alternative investment advisory services
to high net worth and institutional investors. We are
dedicated to establishing a special bond of trust with
our clients through openness and integrity, and believe
that strong investment performance is achieved through
diligent risk management and rigorous quantitative disciplines.
Santa Barbara Quantitative Strategies was formed with
the specific needs of the sophisticated investor in
mind. We fully realize that our clients have a wide
array of choices and deeply appreciate the confidence
they have placed in us. We believe in communicating
frequently with complete candor and total transparency.
We maintain the highest ethical standards with an unwavering
focus on our clients’ best interest.
Santa Barbara Quantitative Strategies is dedicated
to delivering reliable investment performance to our
clients. We employ only those investment strategies
that meet a rigorous quantitative evaluation. Our emphasis
is first on strong risk management with robust and scalable
portfolio management practices. While stressing the
importance of proven methods, we continue to innovate,
seeking every advantage for our clients.
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