TOTAL INDEPENDENCE AND ABSCENCE OF CONFLICTS OF INTEREST
from Asset Managers, Banking Groups, Business Consulting Companies, Institutional Investors and Market Operators. Absolute independence is the only real guarantee against conflicts of interest.
OVER FIFTEEN-YEAR EXPERIENCE IN RISK MANAGEMENT AND ASSET VALUATION
for SGRs (management companies) managing Private Equity and Real Estate Funds – Hedge Funds – Holdings – SIMs (securities firms) – Banks. In addition to the extensive Risk Management and Compliance expertise, QUANTYX boasts advanced skills in securities valuation, including OTC derivatives.
A rigorous approach
CONFIDENTIALITY, DISCRETION AND RIGOUR
QUANTYX professionals are aware of the uttermost importance of confidentiality; discretion is a fundamental quality we demand from our employees and we deem it as important as their professional and rigorous demeanor and integrity.
UNIQUENESS OF THE APPROACH
QUANTYX takes an active, hands-on approach to Risk Management, Compliance and Internal Audit, which consists of an active and continuous assistance to the client, also through on-site presence. This approach contributes to the achievement of the client’s strategic goals, taking into account the firm-specific “Risk Appetite”.