Greenwich Quantitative Research

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Greenwich Quantitative Research is an Asia Pacific focused Quantitative Equity Market Neutral Hedge Fund. Our strategy aims to generate risk-controlled returns that are uncorrelated with market movements by holding a diversified portfolio of both long and short positions from over 20,000 candidate securities in 13 countries across the Asia Pacific region. The strategy employs a systematic investment process that constructs a portfolio based on complex return and risk forecasts utilizing more than 2,000 signals per stock, which is designed to apply the insights of highly experienced investment professionals consistently across a wide range of securities to identify alpha opportunities that are neglected by other market participants.
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