GET Capital was founded in 2006 as an independent quantitative asset management boutique.
Our approach focuses on managing capital markets risks and our clients’ risk budgets in an intelligent way. We see our independence as an enabler of further development and research.
We take advantage of the opportunities the digital revolution offers us, integrating modern portfolio theory, big data analyses and artificial intelligence into a modular investment process without human intervention. This way, we can create made-to-measure, actively managed portfolios tailored to our clients’ wishes.
Our main focus: innovation
The greatest long-term advantage for a technology-driven company with a high level of automation lies within the transformation towards a creative and knowledge-based corporate culture.