8 datasets found
  1. Hedge Funds Market Report | Global Forecast From 2025 To 2033

    • dataintelo.com
    csv, pdf, pptx
    Updated Sep 23, 2024
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    Dataintelo (2024). Hedge Funds Market Report | Global Forecast From 2025 To 2033 [Dataset]. https://dataintelo.com/report/global-hedge-funds-market
    Explore at:
    pdf, pptx, csvAvailable download formats
    Dataset updated
    Sep 23, 2024
    Dataset authored and provided by
    Dataintelo
    License

    https://dataintelo.com/privacy-and-policyhttps://dataintelo.com/privacy-and-policy

    Time period covered
    2024 - 2032
    Area covered
    Global
    Description

    Hedge Funds Market Outlook



    The global hedge funds market size was valued at approximately $3.5 trillion in 2023 and is projected to reach around $5.7 trillion by 2032, growing at a compound annual growth rate (CAGR) of 5.5% during the forecast period. Driving this growth is a combination of market volatility, investor demand for diversified investment strategies, and the evolving landscape of financial regulations.



    One of the primary growth factors for the hedge funds market is the increased appetite for risk-adjusted returns. Investors, especially in the wake of economic uncertainties and market volatilities, are increasingly gravitating towards hedge funds that promise higher returns compared to traditional investment vehicles like mutual funds. This is particularly true for institutional investors, who seek diversified portfolios that can weather market downturns while capitalizing on growth opportunities.



    Moreover, advancements in financial technology are significantly contributing to the expansion of the hedge fund market. The application of artificial intelligence, machine learning, and big data analytics is enabling hedge fund managers to make more informed decisions, optimize trading strategies, and enhance portfolio management. These technological innovations are not only improving the efficiency of hedge funds but also attracting a new generation of tech-savvy investors.



    Additionally, the evolving regulatory landscape is shaping the growth trajectory of the hedge fund industry. While stringent regulations can pose challenges, they also bring a level of transparency and stability that can attract more conservative investors. For instance, regulations that mandate higher disclosure standards and investor protections can enhance the credibility of hedge funds, making them more appealing to a broader investor base.



    In terms of regional outlook, North America continues to dominate the hedge funds market, accounting for the largest market share. The presence of a robust financial infrastructure, a high concentration of institutional investors, and a favorable regulatory environment are some of the key factors driving the market in this region. However, the Asia Pacific region is expected to witness the fastest growth during the forecast period, driven by the rising number of high net worth individuals and the increasing adoption of alternative investment strategies.



    Strategy Type Analysis



    The hedge funds market is segmented by strategy type into Equity Hedge, Event-Driven, Macro, Relative Value, and Others. Each of these strategies offers unique approaches to generating returns, catering to different investor risk appetites and market conditions. Equity Hedge strategies, which focus on equity markets by taking both long and short positions, dominate the market due to their capacity to mitigate risk while capturing stock market gains.



    Event-Driven strategies, which capitalize on corporate events such as mergers, acquisitions, and restructurings, are increasingly gaining traction. These strategies are particularly appealing in volatile market conditions where corporate actions can lead to significant price movements. The ability to exploit inefficiencies around these events makes Event-Driven strategies a critical component of diversified hedge fund portfolios.



    Macro strategies, which take positions based on economic and political views of entire countries or regions, offer a broad level of diversification. These strategies leverage global macroeconomic trends and are particularly valuable in uncertain economic climates. The growing interconnectedness of global markets has made Macro strategies increasingly relevant, as they can capture opportunities across various asset classes and geographies.



    Relative Value strategies focus on identifying price discrepancies between related securities. This approach involves statistical arbitrage and market-neutral strategies that seek to profit from the relative price movements of securities rather than their absolute price movements. The rise of quantitative trading and algorithmic models has significantly bolstered the effectiveness and popularity of Relative Value strategies.



    Lastly, the 'Others' category includes niche strategies such as distressed securities, multi-strategy, and fund of funds. These strategies offer specialized approaches that cater to specific market conditions or investor preferences. Multi-strategy funds, for instance, combine various hedge fund strategies within a s

  2. d

    AXOVISION AI Signals US Single Stocks (Market neutral)

    • datarade.ai
    Updated Feb 11, 2022
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    AXOVISION (2022). AXOVISION AI Signals US Single Stocks (Market neutral) [Dataset]. https://datarade.ai/data-products/axovision-ai-signals-us-single-stocks-market-neutral-axovision
    Explore at:
    .json, .xml, .csv, .xls, .txtAvailable download formats
    Dataset updated
    Feb 11, 2022
    Dataset provided by
    AXOVISION GmbH
    Authors
    AXOVISION
    Area covered
    United States
    Description

    AXOVISION's low beta signals offer substantial advantages to optimise investment portfolios and can be directly converted into alpha - without any further calculations.

    Daily signals, sent at 09:00 EST (15:00 CET) - Build robust strategies with low beta - Universe: S&P500

    Strategy: - Selection of top 10 long stocks and top 10 short stocks

  3. Quant Fund Market Report | Global Forecast From 2025 To 2033

    • dataintelo.com
    csv, pdf, pptx
    Updated Sep 23, 2024
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    Dataintelo (2024). Quant Fund Market Report | Global Forecast From 2025 To 2033 [Dataset]. https://dataintelo.com/report/global-quant-fund-market
    Explore at:
    csv, pptx, pdfAvailable download formats
    Dataset updated
    Sep 23, 2024
    Dataset authored and provided by
    Dataintelo
    License

    https://dataintelo.com/privacy-and-policyhttps://dataintelo.com/privacy-and-policy

    Time period covered
    2024 - 2032
    Area covered
    Global
    Description

    Quant Fund Market Outlook



    As of 2023, the global quant fund market size is estimated to be USD 1.2 trillion, with a projected CAGR of 8.5% leading to an anticipated market size of approximately USD 2.47 trillion by 2032. The rising adoption of algorithmic trading and advanced analytics stands out as a key growth factor driving this remarkable proliferation. The integration of artificial intelligence (AI) and machine learning (ML) to enhance trading strategies has been transforming the landscape, providing unprecedented opportunities for growth and efficiency gains.



    One of the primary growth factors for the quant fund market is the increasing reliance on data-driven decision-making in financial markets. Institutional investors are progressively leveraging quantitative models to optimize their investment strategies, minimize risks, and capitalize on high-frequency trading opportunities. These sophisticated models, powered by AI and ML, allow for the processing of vast amounts of market data to uncover patterns and insights that would be nearly impossible to detect manually. This trend is expected to continue, further pushing the market's expansion.



    Another significant factor contributing to the growth of the quant fund market is the technological advancements in computing power and data storage. The development of high-performance computing systems and the advent of cloud computing have enabled quantitative funds to process and analyze massive datasets in real-time. These technological innovations have not only enhanced the accuracy and efficiency of trading algorithms but also reduced the operational costs associated with running complex quantitative models. This evolution in technology is likely to sustain the market's growth trajectory in the coming years.



    Furthermore, the increasing demand for diversification and risk management among investors is also driving the market's growth. Quantitative funds are designed to employ sophisticated strategies that aim to provide consistent returns while mitigating market risks. The ability to implement market-neutral strategies, statistical arbitrage, and trend-following techniques allows these funds to perform well even in volatile market conditions. This appeal of stable and diversified returns is attracting a broader range of investors, from institutional to retail, thereby expanding the market size.



    The regional outlook for the quant fund market indicates that North America currently holds the largest market share, driven by the presence of numerous established quant funds and a mature financial ecosystem. However, the Asia Pacific region is anticipated to witness the highest growth rate over the forecast period, fueled by rapid economic development, increased adoption of advanced financial technologies, and a growing number of high-net-worth individuals seeking sophisticated investment solutions. Europe and Latin America are also expected to contribute significantly to the market growth, albeit at a slower pace compared to Asia Pacific.



    Fund Type Analysis



    The quant fund market can be segmented by fund type into equity funds, fixed income funds, multi-asset funds, and alternative funds. Within the equity funds segment, quantitative strategies have been particularly advantageous in identifying undervalued stocks and arbitrage opportunities, leading to a steady influx of investments. The application of machine learning algorithms to analyze stock performance and predict future trends has allowed equity-focused quant funds to generate consistent returns, attracting both institutional and retail investors.



    Fixed income funds, on the other hand, have gained traction due to their ability to navigate the complexities of bond markets. Quantitative models in this segment are often employed to analyze interest rate movements, credit spreads, and economic indicators. The precision offered by these algorithms in predicting bond price movements has made fixed income quant funds a preferred choice for investors seeking stable returns with lower volatility compared to equity markets. Moreover, the inclusion of government and corporate bonds in their portfolios adds an additional layer of security for risk-averse investors.



    Multi-asset funds, which combine equities, bonds, and other asset classes, have also seen significant growth. These funds leverage quantitative techniques to allocate assets dynamically based on market conditions. The ability to diversify across multiple asset classes while employing sophisticated risk management strategies makes multi-asset funds attractive to

  4. m

    Quant Fund 시장 규모, 점유율 및 미래 동향 분석 2033

    • marketresearchintellect.com
    Updated May 19, 2025
    + more versions
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    마켓 리서치 인텔리전스 (2025). Quant Fund 시장 규모, 점유율 및 미래 동향 분석 2033 [Dataset]. https://www.marketresearchintellect.com/ko/product/quant-fund-market/
    Explore at:
    Dataset updated
    May 19, 2025
    Dataset authored and provided by
    마켓 리서치 인텔리전스
    License

    https://www.marketresearchintellect.com/ko/privacy-policyhttps://www.marketresearchintellect.com/ko/privacy-policy

    Area covered
    Global
    Description

    이 시장의 규모와 점유율은 다음을 기준으로 분류됩니다: Equity-Based Quant Funds (Long/Short Equity, Market Neutral, Statistical Arbitrage, Event-Driven, Sector-Specific) and Fixed Income Quant Funds (Government Bonds, Corporate Bonds, High-Yield Bonds, Emerging Market Bonds, Convertible Bonds) and Multi-Asset Quant Funds (Balanced Funds, Target Date Funds, Risk Parity Funds, Tactical Asset Allocation, Dynamic Asset Allocation) and Alternative Quant Funds (Commodity Trading Advisors, Hedge Funds, Private Equity, Real Estate Investment Trusts, Infrastructure Funds) and Quantitative Strategy Development (Algorithmic Trading, Machine Learning Models, Factor-Based Investing, Sentiment Analysis, Risk Management Strategies) and 지역별 (북미, 유럽, 아시아 태평양, 남미, 중동 및 아프리카)

  5. k

    Neutral Networks' Next Node? (NNBR) (Forecast)

    • kappasignal.com
    Updated Feb 7, 2024
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    KappaSignal (2024). Neutral Networks' Next Node? (NNBR) (Forecast) [Dataset]. https://www.kappasignal.com/2024/02/neutral-networks-next-node-nnbr.html
    Explore at:
    Dataset updated
    Feb 7, 2024
    Dataset authored and provided by
    KappaSignal
    License

    https://www.kappasignal.com/p/legal-disclaimer.htmlhttps://www.kappasignal.com/p/legal-disclaimer.html

    Description

    This analysis presents a rigorous exploration of financial data, incorporating a diverse range of statistical features. By providing a robust foundation, it facilitates advanced research and innovative modeling techniques within the field of finance.

    Neutral Networks' Next Node? (NNBR)

    Financial data:

    • Historical daily stock prices (open, high, low, close, volume)

    • Fundamental data (e.g., market capitalization, price to earnings P/E ratio, dividend yield, earnings per share EPS, price to earnings growth, debt-to-equity ratio, price-to-book ratio, current ratio, free cash flow, projected earnings growth, return on equity, dividend payout ratio, price to sales ratio, credit rating)

    • Technical indicators (e.g., moving averages, RSI, MACD, average directional index, aroon oscillator, stochastic oscillator, on-balance volume, accumulation/distribution A/D line, parabolic SAR indicator, bollinger bands indicators, fibonacci, williams percent range, commodity channel index)

    Machine learning features:

    • Feature engineering based on financial data and technical indicators

    • Sentiment analysis data from social media and news articles

    • Macroeconomic data (e.g., GDP, unemployment rate, interest rates, consumer spending, building permits, consumer confidence, inflation, producer price index, money supply, home sales, retail sales, bond yields)

    Potential Applications:

    • Stock price prediction

    • Portfolio optimization

    • Algorithmic trading

    • Market sentiment analysis

    • Risk management

    Use Cases:

    • Researchers investigating the effectiveness of machine learning in stock market prediction

    • Analysts developing quantitative trading Buy/Sell strategies

    • Individuals interested in building their own stock market prediction models

    • Students learning about machine learning and financial applications

    Additional Notes:

    • The dataset may include different levels of granularity (e.g., daily, hourly)

    • Data cleaning and preprocessing are essential before model training

    • Regular updates are recommended to maintain the accuracy and relevance of the data

  6. m

    سوق الصناديق الكمية تحليل الحجم والحصة والاتجاهات المستقبلية حتى عام ٢٠٣٣

    • marketresearchintellect.com
    Updated Aug 23, 2024
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    ماركت ريسيرش إنتيليكت (2024). سوق الصناديق الكمية تحليل الحجم والحصة والاتجاهات المستقبلية حتى عام ٢٠٣٣ [Dataset]. https://www.marketresearchintellect.com/ar/product/quant-fund-market/
    Explore at:
    Dataset updated
    Aug 23, 2024
    Dataset authored and provided by
    ماركت ريسيرش إنتيليكت
    License

    https://www.marketresearchintellect.com/ar/privacy-policyhttps://www.marketresearchintellect.com/ar/privacy-policy

    Area covered
    Global
    Description

    تم تصنيف حجم وحصة السوق حسب Equity-Based Quant Funds (Long/Short Equity, Market Neutral, Statistical Arbitrage, Event-Driven, Sector-Specific) and Fixed Income Quant Funds (Government Bonds, Corporate Bonds, High-Yield Bonds, Emerging Market Bonds, Convertible Bonds) and Multi-Asset Quant Funds (Balanced Funds, Target Date Funds, Risk Parity Funds, Tactical Asset Allocation, Dynamic Asset Allocation) and Alternative Quant Funds (Commodity Trading Advisors, Hedge Funds, Private Equity, Real Estate Investment Trusts, Infrastructure Funds) and Quantitative Strategy Development (Algorithmic Trading, Machine Learning Models, Factor-Based Investing, Sentiment Analysis, Risk Management Strategies) and المناطق الجغرافية (أمريكا الشمالية، أوروبا، آسيا والمحيط الهادئ، أمريكا الجنوبية، الشرق الأوسط وأفريقيا)

  7. m

    Marché du fonds quant Analyse de la taille, de la part et des tendances...

    • marketresearchintellect.com
    Updated May 19, 2025
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    Market Research Intellect (2025). Marché du fonds quant Analyse de la taille, de la part et des tendances futures 2033 [Dataset]. https://www.marketresearchintellect.com/fr/product/quant-fund-market/
    Explore at:
    Dataset updated
    May 19, 2025
    Dataset authored and provided by
    Market Research Intellect
    License

    https://www.marketresearchintellect.com/fr/privacy-policyhttps://www.marketresearchintellect.com/fr/privacy-policy

    Area covered
    Global
    Description

    La taille et la part de marché sont classées selon Equity-Based Quant Funds (Long/Short Equity, Market Neutral, Statistical Arbitrage, Event-Driven, Sector-Specific) and Fixed Income Quant Funds (Government Bonds, Corporate Bonds, High-Yield Bonds, Emerging Market Bonds, Convertible Bonds) and Multi-Asset Quant Funds (Balanced Funds, Target Date Funds, Risk Parity Funds, Tactical Asset Allocation, Dynamic Asset Allocation) and Alternative Quant Funds (Commodity Trading Advisors, Hedge Funds, Private Equity, Real Estate Investment Trusts, Infrastructure Funds) and Quantitative Strategy Development (Algorithmic Trading, Machine Learning Models, Factor-Based Investing, Sentiment Analysis, Risk Management Strategies) and régions géographiques (Amérique du Nord, Europe, Asie-Pacifique, Amérique du Sud, Moyen-Orient et Afrique).

  8. m

    Рынок количественного фонда Анализ размера, доли и будущих тенденций 2033 г....

    • marketresearchintellect.com
    Updated Aug 27, 2024
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    Market Research Intellect (2024). Рынок количественного фонда Анализ размера, доли и будущих тенденций 2033 г. [Dataset]. https://www.marketresearchintellect.com/ru/product/quant-fund-market/
    Explore at:
    Dataset updated
    Aug 27, 2024
    Dataset authored and provided by
    Market Research Intellect
    License

    https://www.marketresearchintellect.com/ru/privacy-policyhttps://www.marketresearchintellect.com/ru/privacy-policy

    Area covered
    Global
    Description

    Размер и доля сегментированы по Equity-Based Quant Funds (Long/Short Equity, Market Neutral, Statistical Arbitrage, Event-Driven, Sector-Specific) and Fixed Income Quant Funds (Government Bonds, Corporate Bonds, High-Yield Bonds, Emerging Market Bonds, Convertible Bonds) and Multi-Asset Quant Funds (Balanced Funds, Target Date Funds, Risk Parity Funds, Tactical Asset Allocation, Dynamic Asset Allocation) and Alternative Quant Funds (Commodity Trading Advisors, Hedge Funds, Private Equity, Real Estate Investment Trusts, Infrastructure Funds) and Quantitative Strategy Development (Algorithmic Trading, Machine Learning Models, Factor-Based Investing, Sentiment Analysis, Risk Management Strategies) and регионам (Северная Америка, Европа, Азиатско-Тихоокеанский регион, Южная Америка, Ближний Восток и Африка)

  9. Not seeing a result you expected?
    Learn how you can add new datasets to our index.

Share
FacebookFacebook
TwitterTwitter
Email
Click to copy link
Link copied
Close
Cite
Dataintelo (2024). Hedge Funds Market Report | Global Forecast From 2025 To 2033 [Dataset]. https://dataintelo.com/report/global-hedge-funds-market
Organization logo

Hedge Funds Market Report | Global Forecast From 2025 To 2033

Explore at:
pdf, pptx, csvAvailable download formats
Dataset updated
Sep 23, 2024
Dataset authored and provided by
Dataintelo
License

https://dataintelo.com/privacy-and-policyhttps://dataintelo.com/privacy-and-policy

Time period covered
2024 - 2032
Area covered
Global
Description

Hedge Funds Market Outlook



The global hedge funds market size was valued at approximately $3.5 trillion in 2023 and is projected to reach around $5.7 trillion by 2032, growing at a compound annual growth rate (CAGR) of 5.5% during the forecast period. Driving this growth is a combination of market volatility, investor demand for diversified investment strategies, and the evolving landscape of financial regulations.



One of the primary growth factors for the hedge funds market is the increased appetite for risk-adjusted returns. Investors, especially in the wake of economic uncertainties and market volatilities, are increasingly gravitating towards hedge funds that promise higher returns compared to traditional investment vehicles like mutual funds. This is particularly true for institutional investors, who seek diversified portfolios that can weather market downturns while capitalizing on growth opportunities.



Moreover, advancements in financial technology are significantly contributing to the expansion of the hedge fund market. The application of artificial intelligence, machine learning, and big data analytics is enabling hedge fund managers to make more informed decisions, optimize trading strategies, and enhance portfolio management. These technological innovations are not only improving the efficiency of hedge funds but also attracting a new generation of tech-savvy investors.



Additionally, the evolving regulatory landscape is shaping the growth trajectory of the hedge fund industry. While stringent regulations can pose challenges, they also bring a level of transparency and stability that can attract more conservative investors. For instance, regulations that mandate higher disclosure standards and investor protections can enhance the credibility of hedge funds, making them more appealing to a broader investor base.



In terms of regional outlook, North America continues to dominate the hedge funds market, accounting for the largest market share. The presence of a robust financial infrastructure, a high concentration of institutional investors, and a favorable regulatory environment are some of the key factors driving the market in this region. However, the Asia Pacific region is expected to witness the fastest growth during the forecast period, driven by the rising number of high net worth individuals and the increasing adoption of alternative investment strategies.



Strategy Type Analysis



The hedge funds market is segmented by strategy type into Equity Hedge, Event-Driven, Macro, Relative Value, and Others. Each of these strategies offers unique approaches to generating returns, catering to different investor risk appetites and market conditions. Equity Hedge strategies, which focus on equity markets by taking both long and short positions, dominate the market due to their capacity to mitigate risk while capturing stock market gains.



Event-Driven strategies, which capitalize on corporate events such as mergers, acquisitions, and restructurings, are increasingly gaining traction. These strategies are particularly appealing in volatile market conditions where corporate actions can lead to significant price movements. The ability to exploit inefficiencies around these events makes Event-Driven strategies a critical component of diversified hedge fund portfolios.



Macro strategies, which take positions based on economic and political views of entire countries or regions, offer a broad level of diversification. These strategies leverage global macroeconomic trends and are particularly valuable in uncertain economic climates. The growing interconnectedness of global markets has made Macro strategies increasingly relevant, as they can capture opportunities across various asset classes and geographies.



Relative Value strategies focus on identifying price discrepancies between related securities. This approach involves statistical arbitrage and market-neutral strategies that seek to profit from the relative price movements of securities rather than their absolute price movements. The rise of quantitative trading and algorithmic models has significantly bolstered the effectiveness and popularity of Relative Value strategies.



Lastly, the 'Others' category includes niche strategies such as distressed securities, multi-strategy, and fund of funds. These strategies offer specialized approaches that cater to specific market conditions or investor preferences. Multi-strategy funds, for instance, combine various hedge fund strategies within a s

Search
Clear search
Close search
Google apps
Main menu