Rotella Capital Management is a quantitative research and technology firm focused on generating attractive absolute investment returns in global markets. Rotella strategies combine systematic, rules-based investing with discretionary asset allocation and model selection. The firm employs a robust risk management system in order to maximize profit while managing investment risk.
Rotella strategies generally exhibit low correlation to traditional and alternative benchmark indexes. Our clients are premier firms within the institutional, fund of funds, banking, and family office sectors.