QUANTUM FINANCE CZ is a quickly developing company concerned with quantitative financial analyses in the Czech Republic. Our main goal is to serve investors as an independent source of high quality information.
QUANTUM FINANCE CZ uses a unique combination of recent developments in econometrics, historical data analysis, simulations and knowledge of financial markets' inner workings. This, together with our independence from banking industry, makes our analyses one of the best in the Czech market.
QUANTUM FINANCE CZ's chief concern is the deconstruction of investment products, whose complex structure makes them difficult to grasp for a number of investors. In order to compare these products we continuously develop and update new criteria and ratings, and we publish the updates regularly. Our other services include evaluation and construction of investment strategies on demand, and evaluation of performance of individual portfolios and their sensitivity to external shocks. Our company also creates quantitative analyses for optimal bond allocation for private and public bodies.
QF people have experience in financial analyses, insurance tariff construction, creation of trading algorithms, and public policy recommendations.
QF prefers individual approach to each client's problems and offers innovative solutions.
QF knows that no problem is isolated and everything should be put into perspective.
QF considers its experts its greatest asset. They have experience from companies such as PPF, ING, Generali, or McKinsey.
QF bases its analyses on academic and business sources, but primarily on its own research.
QF strives to eliminate information asymmetry on financial markets, thus offering equal footing for all participants.