For more than 25 years, we have been using the power of mathematics to construct portfolios, which, over time, have the potential to outperform their benchmarks, with less relative risk.
Using Volatility as a Source of Reward
At INTECH, we approach stock-market volatility as the fuel to generate returns greater than the benchmark with similar or lower risk or market-like returns with significantly less risk than a cap-weighted index.
Protecting Your Portfolios
Risk management is a key to generating alpha. The risk controls embedded in INTECH's process have helped to protect the portfolios on the downside through many different market cycles.
Providing Value to You
We offer a consistent and repeatable risk-managed investment process, which, over time, has the potential to generate alpha.