Our vision: A better way to invest
We are a quantitative research boutique. Our methodologies are licensed by institutional investors overseeing approximately $2.3 billion in assets (figure as at 30 June 2025).
We are a quantitative research boutique. Our methodologies are licensed by institutional investors overseeing approximately $2.3 billion in assets (figure as at 30 June 2025).
Our combined skills and pioneering insights on financial markets have resulted in an approach based on forecasting the movement of security prices by modelling the correlation of macro-economic variables to important risk factors. Our models translate macro signals and factor forecasts into practical research modules. Institutional clients license these modules to inform their own investment processes.. The approach is distinguished by its ability to learn and adapt across time and quickly respond to fast-changing market conditions.
Parala’s analytics help clients build their own solutions – from factor‑aware reference indices to macro‑responsive allocation frameworks. Research outputs include smart‑beta index rules, draw‑down dashboards and multi‑asset allocation signals. Implementation is always carried out by the client under its own regulatory permissions.
Our people, approach and technology represent what we believe is a strong and balanced combination of practitioner experience, academic expertise and pioneering research, united in our aim to deliver superior outcomes. Visit other pages on our site to learn how we do this and find out more about who we are. Contact us if you’d like to meet and find out how we can deliver on your unique solution and our promise.