Institutional Signals Asset Management is an independent asset management boutique. With its quantitative approach, Institutional Signals focuses exclusively on the development and implementation of quantitative portfolio management strategies for global institutional investors.

QUANTITATIVE INVESTMENT STRATEGIES

QUANTITATIVE ASSET MANAGEMENT MODELS

Ultimate RATIONALITY

People are prone to underferforming because they have emotional limitations. Algo trading formalizes your strategy upfront and sets clear boundaries on your risk exposure.

GLOBALLY YOURS

Our unique stock selection strategies are globally usable.
Our tried-and-tested systematic strategies add an extra touch
of quality to any portfolio and guarantee their owners a unique experience.

endless possibilities

Fully customizable to meet your individual requirements.
Need to build a multinational wide diversified portfolio
or a niche sectors portfolio ?
The possibilities are endless.

proven reliability

Institutional Signals has more than ten years' experience in systematic asset management
and has become one of the most successful players in the market.
We are one of the first companies delivering systematic signals for large institutional portfolios.

How it works

Execute your transactions manually in predefined rebalancing intervals e.g. monthly, quarterly or semi-yearly.
Let us manage your portfolio, manually or fully-automated.
In both cases your requirements are at the forefront.

PROTECTION

Customer informations are protected as our strategies.
Of course, we treat everything strictly confidentially.

Portfolio behind institutional Signals

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PAST PERFORMANCE IS NOT NECESSARILY INDICATIVE OF FUTURE RESULTS.
This does not constitute an offer for sale.
The data supplied has not been audited and is provided for information purposes only.

Our Investment Philosophy

The founding team was a primary part of the initial research, development and portfolio management and continues to pioneer in these fields.
We combine vast amounts of data, world class technology and financial expertise to put you into the best possible position.

In our benchmark-relative strategies, we use quantitative techniques to generate returns that exceed standard benchmarks and that offer diversification from conventional style like value, growth or momentum. We believe that long-term investment success requires careful preparation, anticipation of the unforeseen and attention to detail.

 

Make customer performing better.

Over 12+ years on the market for professional investors. We provide independent signals to institutional investors. Worldwide signals for large portfolios with up to 200 stocks. Suitable for SICAV- UCITS- Mutualfunds and many more. Adjustable rebalancing frequency from weekly to yearly.