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Estlander & Partner Investment has a long history in quantitative finance and asset management since 1991. We believe that we can find unique opportunities to generate attractive risk-adjusted returns in the futures and options markets.
We manage three alternative investment funds with international clients. We have developed a state-of-the-art platform for advanced portfolio analysis, design and development.
Estlander & Partners utilizes a diverse set of investment strategies and applies an active and adaptive allocation process to find the best opportunities in a multi-asset portfolio setting. Uncorrelated return sources, combined with strict risk control at every stage of the investment process, enable us to aim for higher risk-adjusted returns and provide downside diversification to traditional investments.
Our investment strategies are designed to help our clients build better portfolios and manage risk more efficiently. Some of the strategies are expected to perform well in calm market conditions while others perform better in volatile environments as well as during times of market stress. By combining these return sources and identifying the return drivers in a systematic and disciplined manner we aim to generate solid returns in all parts of the business cycle.
