ARTIFICIAL INTELLIGENCE & MACHINE LEARNING

Solutions in
Capital Markets

Finaix proposes practical solutions with real life
implementations for finance industry.

ABOUT

Leveraging on 20 years of academic research standards’ experience in financial markets and big data, as well as on the latest methodological advancements in AI/ML, Finaix proposes practical solutions with real life implementations for finance industry. Finaix solutions are heavily relying on generic baseline models which have gone through different levels of peer review and validation by industry experts. Only after the base-line generic models are conceptually approved by either finance academic or industry professionals, Finaix offers use-case implementations for finance companies.

Ruslan Goyenko, president of FINAIX
Asssociate Professor of Finance Desautels Faculty of Management, McGill University, Visiting Associate Professor of Finance, Yale School of Management

MISSION

Our mission is to translate academic, generic research into value creation. We carefully survey the most recent advancements in applications of AI/ML in finance, and in asset management in particular. We also produce our own generic R&Ds and most of our models and practical solutions are based on our own research. Who else than developers themselves in a better position to create a client-needs’ oriented use-cases?

What makes Finaix different from others? Transparency and continuous innovations. Financial markets are constantly evolving and becoming more complex every day. AI/ML algorithms are constantly improving to be able to handle the complexity of the financial data. We constantly monitor and improve our AI/ML financial models to reflect the latest trends not only in the technologies, but most importantly in capturing the most recent financial markets’ behaviors. Our main message to the finance community: one model cannot work continuously for an indefinite time. Once we create the base-solution – we are already working on the future updates and improvements.

OUR APPROACH

What else makes Finaix different from others
- we share the knowledge.

We work together with the client’s teams to demonstrate and explain the insights of our solutions.
If needed – we provide the training.

SOLUTIONS

Bottom-up,
multi-stock,
portfolio
constructions
Factor
Investing
Dynamic asset
allocation
strategies
Long Run Risks:
Modelling;
Backtesting and
Validation
Bottom-up,
Long Run
Investments and
Portfolios:
Illiquidity premium
in the short vs the
long run;
Fixed Income
Arbitrage
Stock Picking
strategies and
long-short
investment
strategies
Volatility
Trading
Strategies