About Us

Built by Experience, Driven by Conviction

Quasar was built on the belief that robust performance does not come from a single strategy, but from combining multiple return streams within a structured portfolio. The platform focuses on systematic research, disciplined portfolio construction, and continuous adaptation across market environments.

Quasars are among the most powerful phenomena in the universe—understood through observation, testing, and inference.

That same discipline defines our approach to markets. Research is empirical, decisions are systematic, and conviction is earned through evidence.

Our Mission

Delivering robust, risk-adjusted returns across all market environments

We combine deep fundamental research with systematic methodologies to identify and capture opportunities across asset classes, geographies, and market cycles.

Our multi-strategy platform is designed to generate uncorrelated return streams — giving our investors diversification and resilience when it matters most.

Principal

Founder & Portfolio Manager

IM

Ignacio Mangini

Founder & Portfolio Manager

Ignacio Mangini founded Quasar Capital Management in 2025 to build systematic, multi-strategy investment frameworks. With 7+ years across markets, quantitative research, and systematic trading, he combines research, portfolio construction, and data engineering into scalable investment processes.

Previously he was a Quantitative Researcher at Platykurtis Capital Management for three years, delivering a systematic ETF options strategy from research through live deployment, an internal financial database with automated workflows, and close collaboration with the portfolio manager. Earlier experience spans data pipelines, trading systems, and quantitative research. He holds a degree in Economics and an MSc in Data Science from ITBA.