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Fasanara Open Quant
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Category: Managed Fund
Description
Fasanara Open Quant is a multi-manager, multi-strategy quantitative hedge fund allocating institutional capital to systematic trading models across liquid markets. Strategies span Statistical Arbitrage, Relative Value, Option Structure, and Directional approaches, managed by both internal and independent external portfolio managers. A Flexible Asset Allocation framework ranks trading models by historical returns, volatility, and correlation to determine capital allocation within a single optimally leveraged portfolio.Technology & Skills
PROBLEM SOLVING
PUBLIC RELATIONS
QUANTITATIVE ANALYSIS
SQL
FINTECH LENDING
COMMAND LINE
SIGNAL CONSTRUCTION
PIPELINE MANAGEMENT
CONTENT DISTRIBUTION
RISK MONITORING
SIGNAL GENERATION
STATISTICS
MARKET MAKING
MEDIA RELATIONS
RISK MANAGEMENT
STRUCTURED PRODUCT
QUANTITATIVE TRADING
SYSTEMATIC TRADING
COMMUNICATION
CRM
MONITORING
ROOT-CAUSE ANALYSIS
YIELD STRATEGIES
BUSINESS DEVELOPMENT
WRITING
TOKENISATION
POSITION SIZING
PRESENTATION
WALLETS
TRADING STRATEGY DEVELOPMENT
TIME SERIES ANALYSIS
DEFI
GOVERNANCE MODELS
LIQUIDITY PROVISION
SCRIPTING
DASHBOARDS
NETWORKING
P&L OWNERSHIP
DOCUMENTATION
PARTNERSHIPS
PRIVATE CREDIT
ARBITRAGE
SOURCING
DIGITAL MARKETING
BRAND MANAGEMENT
ARTIFICIAL INTELLIGENCE
EVENT MANAGEMENT
DASHBOARD DEVELOPMENT
EDITING
MARKET RESEARCH
AI TOOLS
MARKETING STRATEGY
DATA ANALYSIS
QUANTITATIVE MODELLING
PYTHON
TRADING SYSTEMS
RWA
AML
DISTRIBUTED SYSTEMS
CRYPTO MARKET STRUCTURE
CRYPTO CREDIT MARKETS
THOUGHT LEADERSHIP
STABLECOINS
DUE DILIGENCE
EMAIL MARKETING
PORTFOLIO MANAGEMENT
INCIDENT INVESTIGATION
DEBUGGING
EXECUTION
CUSTODY
KYC
CAPITAL ALLOCATION
FINANCIAL SERVICES
LINUX
INVESTOR RELATIONS
CONTENT MARKETING
ASSET MANAGEMENT
SEO
CAMPAIGN ANALYTICS
ALERTING
ON-CHAIN ANALYTICS