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Global Tranding We always make sure that we are upto date on pricing anf commission rates with aid of world standard APIs. Stay with Friend Share your status with your friends and the entire world. Our Partners. Quaesta Capital was founded in early With the three business lines FX Alpha programs, FX risk management and FX advisory services we cover the full spectrum of active and passive currency investment management. Our sister company, Quaesta Capital GmbH in Germany, focuses on the management of systematic and discretionary absolute return strategies.

Who are the key people involved in running the company and what are their main day to day responsibilities? In my function as the CEO of Quaesta Capital AG in Switzerland I am overseeing the different business lines, with an additional specific focus on risk control and marketing activities. Our currency fund-of-fund business is headed by Pablo Frei. The main activities involved in the vTrader program are managed by Henning Heppner. What types of client are attracted to the investment and FX services you provide?

Our customer base consists of Pension funds, Family offices, Sovereign Wealth Funds, hedge funds, banks and corporate clients. Our FX investors are looking for attractive alternative investments with low correlation to traditional asset classes. They greatly appreciate the advantages of high liquidity and full transparency which our programs offer. FX services clients on the other hand need solutions for their specific FX problems. Typically, they wish to hedge the FX exposure of their income or assets.

In that field we do also have corporate clients, companies who have significant FX exposures resulting from their business activity. What currency Alpha programs does Quaesta Capital run? Please give a brief overview of them.

Quaesta Capital currently runs three FX Alpha programs. The goal of the program is to deliver robust, sustainable and risk-adjusted returns with low correlation to traditional asset classes. FX-MMP is the result of an extensive and thorough systematic due diligence selection process of the whole FX single manager universe. The portfolio is optimised and diversified over three dimensions - style, currency and time horizon - and it is tactically rebalanced on a monthly basis.

The portfolio typically consists of 8 to 12 selected single currency managers. As a single strategy, we offer our FX volatility program v-Pro. Four different volatility strategies are adopted in order to achieve stable returns in various market environments. Investments are mainly done in highly liquid major currencies, completed by opportunity trades in emerging currencies.

In detail vTrader develops evolutionary algorithms which replicate mechanisms of a natural evolution by a computer program. With roughly pure FX programs in our proprietary database we believe we are one of the only asset managers that track almost every professional FX program globally available.

We stay in direct contact with every manager and store their data on a real-time basis. Of the , less than are investment grade and just about 30 programs are part of our current short list. Our multi-manager program usually consists of eight to twelve single managers with the aim of giving investors access to the best team of global FX managers.

Unfortunately, not at all. We have been and continue to track several programs from global institutions, where some have stopped because of poor returns. Most of the existing ones are at best, average return generators. Looking only at the presentation and strategy description perspectives one would expect much more than average results from such programs.

Facing the strong headwinds of earning money by investing in FX some of the big institutions completely gave up offering an internally managed FX program. Instead of offering internal programs they have switched over to offer clients access to external FX managers or FX manager indices.

We are currently working with institutions on projects that involve launching FX manager based style indices and tailor made portfolios. Therefore figuring out the authenticity of any FX strategy is the first task when looking at a new strategy.

The better it looks the more cautious one should be. Earning money with FX is definitely not an easy task! Is it true that in the long run only systematic FX strategies are able to deliver sustainable returns since emotions negatively impact FX returns? Looking in our database the number of discretionary and systematic strategies is almost balanced.

There is no clear picture about the correlation of being successful and applying a systematic or discretionary strategy. Often managers have a strong idea generation process but are weak on managing risks. We have seen many managers that have failed on managing risk or re-entering the market on time after suffering a draw down. In the end a trader or a system has to show its ability to earn and preserve money over various market regimes and this they have to prove on a day to day basis, continually.

For example look at the Carry trades which were very successful over a long period of time before facing severe losses throughout the financial crisis. The right timing is crucial, not least in the selection of single FX programs. If you are looking at your database and the six years of experience of managing an FX multi-manager program, which strategy do you think is the most successful?

As mentioned before there is no strategy or approach that guarantees sustainable attractive returns. Every strategy has its pros and cons — in order to be successful it needs the combination of a proper idea generation and a sound risk management. Additionally, the success of a strategy is often depending on the general market environment. How can a momentum based strategy deliver returns if markets are quiet and volatility is low?

In the fund of funds we therefore try to tactically over and underweight certain trading styles according to our view of the current market environment. What do I expect from adding an FX program to my portfolio? Do I feel comfortable having all FX exposure with just one manager or do I prefer to limit single manager risk by investing in multiple managers?

Does the program have an attractive audited track record that matches my expectations? Does the manager have the set up to manage my money properly? How do you approach the selection process as part of your internal FX multi-manager program? First, we start with a thorough systematic qualitative and quantitative due diligence process. We want to know the people who are responsible for the strategy and monitor them for an extended period to make sure they are able to fulfill our expectations.

In the end we invest into people and therefore want to know them personally, see their offices and talk to them. As we only invest through managed accounts we get the full transparency needed. As our FX-MMP is a diversified multi-manager program we use a systematic process of constructing our portfolio accordingly. The final call whether a manager gets a substantial allocation is taken by our investment committee which meets, at least, on a monthly basis.

Over the past few years the core portfolio has been very stable meaning that most managers have been part of the portfolio for a long period. This strategy takes advantage of the shape of volatility surfaces. Spreads in various volatility matrixes and currencies are traded.

Also volatility is bought or sold outright if prices do not properly reflect market environment. This strategy takes positions to earn time decay, usually via exotic options with a limited downside.

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