At AISPAK, we specialize in creating automated learning layers that classify inefficiencies, model risk distributions, and assign probabilities to positions with different financial instruments, primarily derivatives and ETFs.
Our cutting-edge AI and Machine Learning technology ensures that our clients stay ahead of the competition by identifying and capitalizing on market opportunities.
Our solutions are based on statistical modeling, mathematical optimization, simulation, and information theory. These solutions are executed on the cloud and through standardized and cost-effective processes.
Our team of experienced data scientists and engineers work closely with our clients to tailor these solutions to their specific needs and goals.
Our focus is on developing Machine Learning solutions for market risk management and generating rankings to improve the risk-benefit trade-off at all times.
We use advanced techniques such as Monte Carlo simulation and Bayesian analysis to provide our clients with a comprehensive view of their risk exposure.
Our portfolio design service is based on risk profile that balances risk aversion and performance expectations, using techniques such as clustering and risk parity in the "allocation" of selected assets.
Our team of financial experts and AI specialists work together to design portfolios that align with our clients' investment goals and risk tolerance. We also provide ongoing monitoring and management of these portfolios to ensure they continue to meet our clients' needs.