Our model forecasts future returns by looking at the historical performance of each of the 11 GICS sectors. Using this data, and taking into account how much risk you are willing to undertake, we deliver numerous combinations for a handcrafted, diversified portfolio.
Primarily quantitative research, looking at effective quantitative risk management techniques and ways to maximize return.
Building the website and structuring the site to seamlessly handle requests back and forth from user-side to the backend.
Testing different portfolio models and translating user goals into parameters for the portfolio models.