HOME 2018-02-16T15:16:07+00:00

FINANCIAL ENGINEERING
EMPOWERING
ACTIVE INVESTMENTS

ANNOX A/S launched on 20 December 2017 in Luxembourg as ANNOX Alpha Fund in a RAIF structure (Reserved Alternative Investment Fund) with GAM S.A. as Management Company. ANNOX Alpha Fund is a subfund of ANNOX SICAV-RAIF.

The Fund is open to seed investors subject to pre-approval. Contact info@annox.com.

ANNOX is an innovative fintech company performing quantitative asset management. Our goal is to provide consistent and stable returns in all financial climates and changing conditions. This is done through a unique approach to asset management based on a combination of financial theory, advanced mathematical models, and extensive computing power.

Year JAN FEB MAR APR MAY JUN JUL AUG SEP OCT NOV DEC YTM
2017 3.04 8.47 8.86 3.63 2.22 4.66 2.71 -1.03  1.37  0.47  1.10  1.04 42.66%
2016 -1.10 0.20 1.54 3.73 0.80 3.25 6.29 0.40 -0.25 4.61 3.27 0.14 25.10%

Key figures (as of Feb 15, 2018)

0
NAV per share (EUR)
0%
Return YTD 2018
0%
Daily return
0%
Return last month (JAN)

ANNOX is an innovative fintech company performing quantitative asset management. Our goal is to provide consistent and stable returns in all financial climates and changing conditions. This is done through a unique approach to asset management based on a combination of financial theory, advanced mathematical models, and extensive computing power.

Year JAN FEB MAR APR MAY JUN JUL AUG SEP OCT NOV DEC YTM
2017 3.04 8.47 8.86 3.63 2.22 4.66 2.71 -1.03  1.37  0.47  1.10  1.04 42.66%
2016 -1.1 0.20 1.54 3.73 0.80 3.25 6.29 0.40 -0.25 4.61 3.27 0.14 25.10%

Key figures (as of Feb 15, 2018)

0
NAV per share (EUR)
0%
Return YTD 2018
0%
Daily return
0%
Return last month (JAN)

ANNOX is an innovative fintech company performing quantitative asset management. Our goal is to provide consistent and stable returns in all financial climates and changing conditions. This is done through a unique approach to asset management based on a combination of financial theory, advanced mathematical models, and extensive computing power.

Year JAN FEB MAR APR MAY JUN JUL
2017 3.04 8.47 8.86 3.63 2.22 4.66 2.71
2016 -1.10 0.20 1.54 3.73 0.80 3.25 6.29
Year AUG SEP OCT NOV DEC YTM
2017 -1.03  1.37 0.47  1.10  1.04 42.66%
2016 0.40 -0.25 4.61 3.27 0.14 25.10%

Key figures (as of Feb 15, 2018)

0
NAV per share (EUR)
0%
Return YTD 2018
0%
Daily return
0%
Return last month (JAN)