Systematic Factor-Based Investing
A disciplined, quantitative framework that identifies and harvests proven return factors — customized specifically for India's unique market dynamics.
13 years of live performance. Top-decile returns among all India fund managers. A disciplined, quantitative approach to the world's most compelling growth market.
Pacer ActiveAlpha India Quality ETF · Nasdaq · Updated March 6, 2026
INDQ vs MSCI India Index (normalized)
Past performance does not guarantee future results. Data shown is for illustrative purposes. The MSCI India Index is shown for comparison only and is not a benchmark of the fund.
Full Track RecordIndia is projected to become the world's third-largest economy by 2028. With a $5 trillion GDP, the youngest population among major economies, and a digital infrastructure revolution, India offers a structural growth opportunity that is unmatched globally.
We started ActiveAlpha with a simple conviction: that systematic, factor-based investing could deliver superior risk-adjusted returns in India. Fifteen years later, the data has proven us right. We never changed course, and we never will.
Whether you're a US-based RIA, an institutional investor, or a global asset manager, we have a solution tailored to your needs.