Finaix proposes practical solutions with real life implementations for finance industry.
FinAIx is a financial services technology company which partners with family offices, wealth managers or asset management companies to manage clients’ portfolios with FinAIx proprietary AI driven asset management strategies. The core strategies are based on muti-factor dynamic asset allocation explicitly emphasizing protecting the investor’s capital during market downturns or recessions.
Most of FinTech nowadays is driven by “Tech”. At FinAIx, we are driven by “FIN”. We are tailoring ML/AI developed in other disciplines to solve financial market problems, relying on our more than 20 year academic and practical experience in the field.
We are guided by financial theory, principles, and experience, which allows us to build our AI/ML asset management models differently than those developed by data scientists without such vertical expertise.
Over the course of last 5 years, we have developed a new class of generic AI/ML models with applications in portfolio construction, asset allocation, and return predictability. FinAIx publishes examples of this research via its R&D Lab, FIRM Labs.
Our AI technology uses the most recent state of art tools developed in computer science which we tailor for asset management purposes. We train this technology to learn relentlessly to outsmart the best portfolio managers or the most common portfolio performance benchmarks, i.e. S&P500. It simply learns faster than a human portfolio manager, and most importantly it can process much more information (data) than the whole team of portfolio asset managers.