Advanced Equity Signal Backtesting with Bquant Enterprise
Key Features include:
- A comprehensive solution for equity signal research, portfolio construction, optimization, and backtesting using the power of the cloud and unlimited access to entitled equity datasets.
- Pre-defined library of common factors in combination with your own signals, the Equity Signal Lab provides a comprehensive solution for rapidly testing new investment alpha strategies from creation through to portfolio construction and implementation.
In this session we will cover:
- Benefits of Equity Signal Lab and Key Differentiators
- Demo of enhanced workflows
- Case Studies of successes
- Roadmap for future releases
- Getting access
- Q&A
Equity Signal Lab is not just about creating a strategy but providing the tooling to understand why the strategy works in a fast and scalable way.
Register now to learn more.
Speakers
Ben Clarke
BQuant Customer Engagement Product Manager
Bloomberg
Ben Clarke heads the BQuant Customer Engagement and Go to Market Product team within the CTO group at Bloomberg. BQuant is Bloomberg’s end to end quantitative investment research platform built for quants and financial data scientists. Ben’s team are responsible for shaping the future direction of the product, client experience and learning. Previously he spent the last 8 years leading financial application development teams, working closely with Bloomberg Terminal subscribers to develop quantitative research in python, with a particular focus on signal generation, relative valuation analysis, asset allocation and research management workflows. He has also led teams building financial applications in Excel/ VBA. He joined Bloomberg 11 years ago and has worked in London and Hong Kong.
Runeet Kishore
BQuant Research & Product Management, Senior Quantitative Researcher
Bloomberg
Leveraging systematic equities domain expertise, Runeet is responsible for research leading to BQuant Enterprise product capabilities. Prior to joining Bloomberg in 2022, he spent 14 years in senior portfolio management, research, and investable indices roles at global asset managers (BlackRock, Alliance Bernstein, Clinton Group), and banks (Bank of America Merrill Lynch, Barclays). He holds a Ph.D. in Finance from Duke University’s Fuqua School of Business, with a widely cited PhD thesis. He earned undergraduate degree from the Indian Institute of Technology (IIT) – Delhi, graduating at the top of his class with the Institute Director’s medal.