The AGFiQ Difference

AGFiQ’s quantitative investment philosophy is based on the belief that outcomes can be improved by assessing and targeting the factors that drive market returns. Given this philosophy, the team’s objective is to provide better risk-adjusted returns through our construction of innovative investment portfolios that we believe successfully balance risk management with opportunities for growth.

Our Team

We believe discipline makes the difference. Our quantitative, multi-factor process is built by a multidisciplinary, intellectually diverse team of professionals who think differently.

Our Products

Our suite of AGFiQ factor-based ETFs provides access to a wide variety of market exposures and desired client goals, ranging from tactical alternative access to equities, active risk-mitigation strategies, and innovative income-focused strategies.


An attractive hedging tool for long-only equity holdings. Find out how the BTAL ETF can potentially act as an effective hedging tool for your long-only equity holdings.