Unlocking potential

We create opportunities based on quantitative methods and high-performance technologies with an ambitious team.

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Who we are

Quantitative asset manager in Frankfurt and London

Quoniam develops customised investment solutions for institutional investors. Our value creation is based on research- and data-driven methodologies, a powerful IT platform and our deep capital markets experience. As a pioneer in active quantitative asset management, we have been delivering systematic equity, fixed income and multi-asset strategies for 25 years.

Our strategies

Equities   

Holistic analysis creates opportunities  

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Fixed Income  

Diversification as a success factor   

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Multi-Asset 

Exploit opportunities, reduce risks 

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Quoniam in numbers
25

years of experience in quantitative asset management 

20+

billion assets under management 

95%

per cent of assets of the sub-funds of the QFS SICAV managed according​ to ESG criteria

Investment ideas

High Yield MinRisk

Exploiting opportunities, reducing risks.

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Emerging markets equities

Participate in opportunities in emerging markets
with a risk-reduced strategy.

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Science powers portfolios

Evaluate external effects and achieve sustainability goals.

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What sets us apart
“Quoniam is the intersection of smart and passionate people, cutting edge research, and high quality implementation which enables us to consistently add value to our clients.”
Nigel Cresswell, CFA, CEO, Managing Partner
News hub
Article
April 2024
Best Bond Global Corporates EUR Fund Over 10 Years: Quoniam Fund Selection SICAV – Euro Credit EUR A dis

The Quoniam Fund Selection SICAV – Euro Credit EUR A dis has been awarded as winner in the category “Best Bond Global Corporates EUR Fund Over 10 Years” by the LSEG Lipper Fund Awards United Kingdom 2024.

Article
April 2024
Market commentary equities: Bye-bye growth, hello value? We answer our investors’ questions

Many of our clients have asked us what positioning the various equity factors of our factor investing strategies suggest in the current market environment. Our portfolio manager Andjelka Bannes, CFA, shares and explains our findings on growth, quality, value and low-volatility equities in the context of dynamic markets.

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