About Us

Systematic Analytics was formed with the goal of creating highly scalable portfolios and datasets with strong alpha signals and zero correlation to the equity markets. We are proudly serving asset managers with sector exposure, factor exposures, or offering neutral products with no signs of correlation to sector or factor movements.

Our most sophisticated products take into account not just traditional technical indicators but also fundamental signals. A strong combination of these metrics results in consistently powerful performance.

We invite you to give us a try and see the difference our systematic strategies can make in your portfolio.