Evidence-based investment

Through our proprietary investment strategies, customized approach, and implementation expertise, we aim to help clients work toward their investment goals.

ABOUT US

Quantor Capital is a quantitative investment firm that provides systematic investment solutions for individual and institutional investors.

Our mission is to apply high quality research and empirical evidence in the development of our investment strategies. We believe that systematic exposure to certain market factors has historically been associated with long-term investment returns.

We, therefore, employ a unique approach by replicating benchmarks and enhancing risk and return by using derivatives and factors. This  allows us to tailor  strategies that seek to capture  systematic market exposures which have historically been among the long-term drivers of investment returns.

What We Offer

Our Strategies

Six distinct strategies built on evidence, discipline, and low cost — each designed for a specific investment objective.

02

High Income

Diversified income with built-in downside protection and tax-efficient Section 1256 treatment.

03

Dynamic Growth

A rules-based strategy that buys the dip using leverage and automatically deleverages at new highs.

06

Box Spread

Access liquidity at near risk-free rates using your existing portfolio as collateral, with Section 1256 tax advantages.

01

Core

A globally diversified, multi-asset portfolio rebalanced weekly and calibrated to S&P 500-level volatility.

04

Global 500

Direct ownership of 500+ global stocks with true market cap weighting and systematic tax loss harvesting.

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Global market portfolio

True passive diversification across all major asset classes — an index of indexes, weighted by market cap.

Quantor Capital by the numbers

6

Strategies

Each built for a distinct investment objective

12

Guiding Principles

The beliefs behind every portfolio decision

500+

Direct Holdings

In our Global 500 direct indexing strategy

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Black Boxes

Full transparency on every strategy we manage

Why Quantor

A Different Kind of Firm

We don't sell products. We build portfolios around evidence, discipline, and your long-term interests.

  • Every decision is grounded in peer-reviewed empirical research from the greatest minds in investing. No gut feel, no market narratives, no short-term trends. If the data doesn't support it, we don't do it.

  • The broadest possible diversification is the most reliable path to positive expected returns over time. Diversification is not a hedge against uncertainty — it is the correct response to it.

  • A dollar saved in fees is a dollar that compounds for you — not for us. Investment costs are among the primary culprits of underperformance. We price every strategy to align our interests with yours.

  • Clients deserve to fully understand what they own and why. We provide clear documentation for every strategy and our entire team is always available to answer any question — no exceptions.

Ready to invest differently?

Let's find the right strategy for your goals — and walk you through exactly why the evidence points there.