Factor Selection

Factor Selection

Size

Mid and Small Cap Companies

Momentum

Companies trading above 6 months & 1 year price adjusted for volatility

Low Volatility

Companies exhibiting low standard deviation / risk

Value

Companies with low P/E, low P/B, low P/S and high dividend yield

Quality

Companies with low debt, high ROIC, consistent earnings

Risk Budget

Optimize allocations for a given "risks budget"

Asset Allocation

Utilize long-term historical data, projected forecasts, & specified constraints

Optimize the weights to each factor accordingly