Investment Philosophy

With its increasing scale and continuing structural reforms, Asia represents a significant investment opportunity. However, given the region's volatility and the quality of data, Apex believes that alpha-only, market neutral quantitative strategies can deliver compelling returns in a region where beta-oriented strategies are commonplace.

Apex seeks to exploit disparities stemming from transitive factor lags and temporary dislocations arising from intra-regional biases and inefficiencies. Our goal is to produce outsized, uncorrelated returns at a measured volatility.