QXI’s work departs from orthodoxy in our view of risk and in achieving consistent long-term outperformance. Methodology does not result in just a single investment portfolio, but instead provides the tools for building, analysing and back testing a wide range of multi-asset portfolio solutions.
For over 15 years QXI has applied a rigorous approach to analysing the active management of passive indices, using data intensive research, practical insights from our experiences, leveraging technology and quantitative decision making, to deliver a dynamic, systematically consistent, and disciplined outlook across the investment landscape.