GET Capital AG is an independent quantitative asset manager. We combine scientific research and models with many years of hands-on experience in international portfolio management.

GET Capital offers to actively manage your portfolio using objective statistical methods. The optimisation process we employ applies the highest level of scientific and technical expertise to the demanding challenges posed by the financial sector. Our investment concepts are customised to meet our clients' needs and requirements – in a transparent manner that can be reconciled at any time, thanks to their mathematical structure.

Our core area of expertise is in the active management of customised, risk-adjusted global equities, bonds and balanced mandates. In this context, we emphasise the intelligent management of risk capital, applying innovative scientific research for this purpose.

Our staff members have a strong mathematical/scientific background, a high level of analytical skills and the required capital markets expertise. 75% of our colleagues have a degree in physics, mathematics, economics or informational sciences. This means that you have a highly specialised, international team at your disposal – a team that will provide you with a dedicated, comprehensive and long-term service covering all investment management issues.