
AGNITYA is a specialist quantitative solutions firm supporting financial institutions at the intersection of advanced analytics, regulatory governance, and digital transformation.
Founded by seasoned quantitative professionals with over 30 years of hands-on experiencein pricing, hedging, and risk modelling, AGNITYA delivers independent, technically rigorous, and regulator-ready solutions across banking and insurance. Our work spans the full risk lifecycle — from model design and implementation to independent validation, governance, and ongoing performance monitoring.
We partner with insurers and banks to modernise operations through AI-enabled, auditable, and well-governed frameworks, while preserving actuarial integrity, AGNITYA is deeply rooted in quantitative finance. We design and validate sophisticated pricing and hedging models for fixed income, FX, equity, hybrid, and structured products, leveraging state-of-the-art stochastic, local-volatility, and backward looking-curve frameworks.
What differentiates AGNITYA is our independent mindset and governance-first approach. We act as a trusted partner across the 1st and 2nd lines of defense, ensuring models are not only mathematically sound, but also fit for purpose, properly documented, and defensible under regulatory scrutiny.
At AGNITYA, we turn regulation into a strategic advantage — enabling our clients to price with precision, govern with confidence, and grow sustainably in a regulated European market.
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