Our vision is to provide an algorithmic solution to the problem of maximizing client returns in financial markets. Consequently, we explore the optimization of risk and return in the case of optimal asset allocation and portfolio construction. We believe that each client has unique investing goals and capabilities, which is why the output of our analysis will be tailored to each client. Integrating quantitative analysis at the core of our project empowers us to develop unique financial models and data visualization solutions that enable us to deliver an elegant product.
For this project, we agree to contract for an A+.