Free investable funds
Trust, stability and less worries. Invest your funds with us and get a global portfolio of more than 200+ shares with an attractive return.
Our goal at ANNOX is to make high and consistent returns. We do this through a systematic scientific approach to asset management. Our methods are based on economic theories, deep financial insight and advanced mathematical models.
Basically, the fund's +200 shares are selected on strong financial figures and attractive share price patterns. We thus choose the stocks that provide the best combination of recognized academic risk premiums and market abnormalities that increase the likelihood of creating excess returns in the long term.
Shares monitored daily
Average portfolio weight / share
Number of shares turned over / monthly
ANNOX applies different complementary data-driven strategies in one and the same fund. By applying several strategies in the same model dynamically, the opportunities to choose the shares that provide excess returns in the fund are increased.
We use a systematic data-driven approach to find and exploit opportunities for excess returns. Our models are built on evidence in historical data, and not personal gut feelings that may change from day to day.
We are 100% independent and only advise our equity fund. We thus have full focus on making the best-performing equity fund - and nothing else. And if you have questions, you are always welcome to write or call - we are located on Svanemøllevej in Hellerup.
ANNOX A/S is a portfolio manager for the UCITS fund ANNOX Quant Global Equity ESG Kl. ANNOX is an innovative asset manager using an in-house developed systematic trading process exporing raw data from the Thomson Reuters Refinitive. The fund is administered by Nykredit Portfolio Administration through their private label umbrella platform Investeringsforeningen InvestIn. Nykredit, who is also our depositary, uses BNY Mellon as their sub-custodian.Read about ANNOX