I have extensive experience in the capital market and asset management verticals of the financial industry. I employ my acquired skill sets in the practice of creating multi-asset quantitative analysis-based instruments, screening systems, and strategies for interpretation of investment markets. My systems scrutinize all indices, equities, currencies, commodities, ETFs, and interest rate vehicles.
I utilize unique technical tools in the analysis of all primary asset classes, over short, intermediate and long-term time fractals, with the desired result being the creation of non-correlated opportunities with diminished risk profiles and outsized gain potential.
My research and strategy construction is the result of the vetting of thousands of technical, fundamental, economic and macro-market indicators and inter-market relationships in search of the rare few with long standing efficacy, and robustness across all sectors, asset classes and capitalization levels.