The portfolio will be put on the market as a UCITS investment fund in 2020/2021
Finanzen & Versicherung
AXOVISION develops a model of interrelated artificial intelligences which analyzes the stock market. All relevant data for share prices, from financial ratios to sentiment analysis, are being utilized. The market neutral stock portfolio generated by our prototype shows high risk-adjusted returns in bull and bear markets.
State of the Art Deep Learning Ensemble Techniques used
Diverse Data Analysis on Traditional as well as Unconventional Data
Market neutral portfolio (beta near zero) with high risk-adjusted returns
Portfolio suitable for UCITS fund