GC Financial Research (GC stands for Gündüz Capital) is established in 2002 in order to model investment strategies, and to produce ready to use quantitative financial products. GC Financial Research Team consists of banking and investment professionals as well as engineers, quants, mathematicians/statisticians, and computer scientists. GC Financial Research is the pioneer investment company primarily focused on using quantitative strategies in Turkish Capital Markets. The models devised by GC Financial Research produce "financial intelligence that can directly be used in investment decisions". GC Financial Research aims to produce scientific and accessible information as an independent company. GC Financial Research seizes Research and Development based business model. The output of GC Financial Research is independent of subjective forecasts. GC Financial Research visions to be one of the outstanding Research and Development Companies working on financial markets by using modern quantitative methodologies. GC Financial Research has its mission to produce market intelligence and to provide "financial intelligence that can directly be used in investment decisions" to its customers. In this respect, the integration of Turkish Capital Markets to global market and the analysis of the markets are the part of GC Financial Research mission. GC Financial Research allocates its capital/efforts on the instruments, tools, and labor force to serve the purpose of its mission.