GA Asset Management is a quantitative oriented prop trading firm headquartered in Amsterdam. We trade hedge fund-like investment strategies for our own account. Through our subsidiary GA Financial Solutions GmbH in Berlin, we provide all major technologies for trading existing strategies and offer innovative research for new strategies.
In the listed derivatives market, our trading universe consists of the 200 most liquid futures contracts, representing exposure to all major asset classes globally. In listed equities, our trading universe consists of approximately 6000 stocks, representing 99% of the developed world’s market capitalization.
Our research focuses on the following areas of responsibility:
- Managed Futures (CTA and Global Macro)
- L/S Equity
- Risk Management
Our investment approach is characterized by:
- extensive proprietary quantitative research on the relationship between investment instruments and risk control
- attractive rule-based investment strategies with sustainable risk-return characteristics
Please contact us if you would like to work with us to develop and trade outstanding quantitative investment strategies.