Our team combines in-depth knowledge of financial markets coupled with different quantitative skills such as mathematics, quantitative finance, artificial intelligence/machine learning/statistics and different coding languages such as Python, R, and others. This combination of different abilities and experience enables us to develop sound solutions which are sophisticated and appealing quickly.
Management: Executive Board and Partners
Prof. Dr. Walter Farkas
Head Risk Management, Board President
Sandro Schmid, MaS, MBA
CEO, Board Member
Prof. Dr. Marc Paolella
Head Asset Management, Board Member
Prof. Dr. Pawel Polak
Head Machine Learning, Board Member
Prof. Dr. Karl Schmedders
Head Op. Research, Board Member
Dr. Boris Wälchli
Chief Technology Officer
We benefit from experienced Advisory Partners and Affiliate Professors who challenge our ideas, act as sparring partners and progress our research.