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arXiv · 2607.19279

Gaussian Boson Sampling for Asset Clustering in Statistical Arbitrage Portfolios

Abstract

Gaussian Boson Sampling (GBS) provides a native photonic quantum heuristic for sampling dense subgraphs from adjacency matrices, offering a scalable physical approach to combinatorial graph search problems. Simultaneously, correlation matrix clustering algorithms, such as Spectral and SPONGE, have established robust benchmarks for identifying co-moving assets from correlation matrices in statistical arbitrage (StatArb) strategies. In this work, we map S&P 500 residual correlation data into GBS-compatible adjacency matrices. We benchmark those classical clustering algorithms against two quantum clustering algorithms, GBS Boost and our novel GBS Roots, to construct dynamic, market-neutral portfolios over a rolling one-year window. Simulations across distinct macroeconomic regimes reveal that quantum clustering generates superior alpha within large stock universes during periods of high volatility, effectively isolating structural market idiosyncrasies. Crucially, this economic advantage persists under simulated low-loss conditions and extends into high-loss regimes via the application of coherent displacement to compensate for photon loss. Our findings underscore the efficacy of GBS-derived graph clustering in constructing robust StatArb portfolios, establishing a quantum foundation for broader quantitative finance applications.

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BibTeXRIS

Dayne Marcus Lopena, Daniel Buguks, Zhenghao Li, Ewan Mer, Shana H. Winston, Shang Yu, Mihai Cucuringu, Del Rajan, Philip Intallura, Raj B. Patel. 2026-07-21. Gaussian Boson Sampling for Asset Clustering in Statistical Arbitrage Portfolios. https://arxiv.org/abs/2607.19279

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