Asset management firm for HNWI’s and institutional investors.

Powered by ultra-diversified strategies and exceptional trading talent

Powered by ultra-diversified strategies and exceptional trading talent

Institutional-Quality

Institutional-Quality Emerging Managers Access

Powered by ultra-diversified strategies and exceptional trading talentPowered by ultra-diversified strategies and exceptional trading talentPowered by ultra-diversified strategies and exceptional trading talentPowered by ultra-diversified strategies and exceptional trading talentPowered by ultra-diversified strategies and exceptional trading talentPowered by ultra-diversified strategies and exceptional trading talentPowered by ultra-diversified strategies and exceptional trading talent

Features

Features you will get with us

Features you will get with us

Niche and Uncorrelated Investment Strategies.

As a benchmark, our systems must have a Calmar Ratio of at least 3:1, with a focus on achieving an average of 5.5:1.

Coinvestment Opportunities

As a benchmark, our systems must have a Calmar Ratio of at least 3:1, with a focus on achieving an average of 5.5:1.

Global Network

As a benchmark, our systems must have a Calmar Ratio of at least 3:1, with a focus on achieving an average of 5.5:1.

Aligned Interests

As a benchmark, our systems must have a Calmar Ratio of at least 3:1, with a focus on achieving an average of 5.5:1.

Diversification Across Multiple Asset Classes

Benefits

Benefits of investing globally

Benefits of investing globally

Coinvestment Opportunities

As a benchmark, our systems must have a Calmar Ratio of at least 3:1, with a focus on achieving an average of 5.5:1.

Coinvestment Opportunities

As a benchmark, our systems must have a Calmar Ratio of at least 3:1, with a focus on achieving an average of 5.5:1.

Coinvestment Opportunities

As a benchmark, our systems must have a Calmar Ratio of at least 3:1, with a focus on achieving an average of 5.5:1.

Contact

info@quantxassociates.com

71-75 Shelton Street, London

Regulation
Regulation

QuantX Associates operates in a fully regulated environment as an associate of asset management firm London & Eastern, authorised and regulated by the UK Financial Conduct Authority. For the avoidance of doubt, QuantX Associates is not independently regulated by the FCA. QuantX Associates is a 'Strategy Provider' to Pelican Trading. Pelican Trading is a trading name of London & Eastern LLP. London & Eastern LLP is authorised and regulated by the Financial Conduct Authority in the UK, ref 534484. Registered address: 78 York Street, W1H 1DP, London.

Fund Custody
Fund Custody

QuantX Associates does not hold client funds. You, the client, maintain control, custody, and withdrawal of your funds at all times. All funds deposited by clients for the purposes of QuantX Associates are held in your account with a QuantX-approved broker. Your money is held separately from the broker's own funds. These brokers are required to be fully regulated entities, holding licenses from reputable regulatory authorities.

Risk Warning
Risk Warning

CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage. At least 72.5% of retail investors lose money when trading CFDs with this provider. You should consider whether you understand how CFDs work, and whether you can afford to take the high risk of losing your money.

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