Dynamic Portfolio Optimization

We develop and construct asset portfolios optimized & tailor made for different levels of investor’s risk tolerance. We propose & continuously monitor & readjust  5 different portfolios which assume 5 different risk tolerance levels , from very conservative to aggressive. Our methodology goes beyond traditional portfolio optimization techniques,  taking advantage of Big Data Machine Learning prediction & clustering algorithms running on the cloud. Our suggested portfolios consist of ETFs representing  Indices, Currencies, Sectors, Countries, Commodities and other assets.


Trading Signals

We analyze & model various asset markets & produce trading signals for a number of different assets based on our Machine Learning prediction algorithms. Our models analyze Big Data from more than 12 different data sources of Fundamental, Market data & news and produce exact trading signals for individual assets or clusters of assets with high probability of success. Our signals have a horizon of some days to one year the most and can be used either as stand alone suggestions or preferably under a bigger decision making  framework with certain risk management rules.


Custom Solutions

We develop & provide tools & services to institutional investors, hedge funds, corporations & family offices in order to enhance their asset allocation & performance capabilities. Our team has the right blend of Artificial Intelligence tools  & investment expertise with proven track record.