Automated fund management systems for traders and brokers
Efficiently unleash cross-media information without cross-media value. Quickly maximize timely deliverables for real-time schemas.
A perfect balance for
our investment portfolio
The aim of the fund is to have a well-diversified portfolio that enables us to achieve exponential growth of the capital invested, through automated adaptive investment management systems that use predictive parameters so that we can adapt to any new fluctuations in the market.
The internal code of the trading strategy consists of a complex quantitative algorithm that uses mathematical analytical techniques through nonlinear equation systems typically found in natural daily scenarios. The system constantly scans the market to identify these oscillations across different financial instruments, using customised parameters for entering and exiting each analysed market.
ADAPTIVE MANAGEMENT SYSTEMS
“Gradual growth of capital invested without sudden shocks“
The systems are interconnected via data bridges, which tell us the health and stability of each system – regardless of whether it is working correctly. Every second, our system scans to find out if the bridge is still intact and sends/receives data non-stop in order to guarantee the security of each investment.
All our systems are programmed with genetic code, thus applying artificial intelligence to our robots. This enables the robot to effectively work out and detect that the market scenario has changed and that it should therefore disconnect from it. An incredibly revolutionary management system that works to our advantage.
The system is designed in such a way that for every tick and movement in the market, it does a new scan across the four markets and hundreds of financial instruments, in order to automatically take the decision to enter based on probability of success.