BREAKTHROUGH FINTECH SOLUTION FOR MARKET PROFESSIONALS

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Sophisticated Artifical Intelligence Trading Solutions
for Financial Institutions & Market Professionals.

Modelomni Passive

Optimised for Asset Managers

Modelomni Active

Optimised for Banks and Professional Traders

"The good old days" of static, traditional methodologies, designed by trading professionals and academics that were able to deliver performance over time are gone and unlikely to ever come back.

Modelomni Passive

Optimised for Asset Managers
and Family Offices.

Asset Managers utilise Modelomni Neural Networks Technology in accordance with their predefined objectives and Risk/Returns profile.

  • Sophisticated Neural Networks Technology
  • Effective Portfolio Diversification Solution
  • Stringent Risk Management
  • Easy to configure
  • Minimal time management required
  • Monitor performance in real time
  • Ethical & Transparent at all times
  • Retain full control
  • Client defines Risk/Returns Profile & Objectives
  • Risk Management is hardcoded in all Trading Models
  • Upper layer client defined Risk Management Rules constrain the scope of trading within the client's established parameters
  • Neural Networks, Supervised and Unsupervised Machine Learning Models automatically balance the client portfolio
  • Client Dashboard to monitor performance: Full control & Transparency
  • Start / Stop / Increase Risk / Decrease Risk / Increase Allocation / Decrease Allocation & more

Modelomni Active

Optimised for Banks, Trading Desks
and Professional Traders.

Intelligent Execution Technology engineered to assist Market Professionals with High Probability Trades and strict Risk Management.

  • Propriatory Intelligent Execution Technology (IET)
  • IET identifies opportune time for opening positions with minimum risk and high probability of success.
  • Engineered to furtherance Market Professionals by augmenting and maximising trading performance.
  • Trader remains in full control of which instruments to trade, direction, stop losses etc.
  • Stringent Risk Management: Trader Controls + Technology Safeguards
  • Wide range of professional trading tools allowing Traders to frame the scope of the Technology's involvement
  • Create your own trading history using the Models as per your requirements
  • Execute directly with the Prime Banks with no intermediaries / brokers, and at the best price
  • Protected from arbitragers
  • Execute directly with the Prime Banks with no intermediaries / brokers, and at the best price
  • Low risk of deal rejections. Protected from arbitragers

AI Trading Models for Financial Institutions & Market Professionals.

  • FinTech Solution

  • Sophisticated Artificial Intelligence Technology

  • Efficient Portfolio Diversification Solution: uncorrelated to major asset classes

  • Designed to deliver Risk-Adjusted Performance

  • Conceived to outpace the effects of Alpha Decay

  • Drawdown performance typically superior to funds and indexes

Modelomni delivers optimum conditions for clients to succeed

Modelomni has Direct Market Access and executes only with the Prime Banks
No broker or intermediary
Prime Banks regard Modelomni as "Angel flow"

Official Data Partners with The London Stock Exchange Group

Onboarded by The Fintech Sandbox Incubator (Boston)

Awarded substantial usage and support credit for Cloud Services by AWS

FCA Regulated

Modelomni Technology is a fully regulated and compliance ready technology company

Standalone Turnkey Solution

No IT costs, integration costs or upfront costs

You are in control

We develop Technologies and make them available to our clients to utilise as they wish and with full control

Stringent Risk Management

Hardcoded in all our models

Second layer client defined Risk Management Rules

Unique Execution Reports

Modelomni clients always know with which Prime Bank they have executed with, raising their Market Profile and Brand Equity.

Ethical & Transparent

Modelomni fees are the same for all clients

Competitive Prime Bank pricing

No client ever has an advantage over another

All client trades and information are private and secure

MODELOMNI
Technology Lab
for Market Professionals
Research & Development is our raison d’être

MODELOMNI
Technology Lab
for Market Professionals
Research & Development is our raison d’être

MODELOMNI Artificial Intelligence trading models are developed to outpace the inevitable resulting failure from Alpha Decay.

MODELOMNI Artificial Intelligence trading models are developed to outpace the inevitable resulting failure from Alpha Decay.

ALPHA DECAY is the phenomenon whereby a particular investment methodology deteriorates in performance over time. Although initially well suited to the original market conditions at the time of inception, traditional methodologies are now losing performance faster than ever as AI technology, time and market conditions evolve. Therefore resulting in negative Alpha, from which they cannot recover.

TECHNOLOGY IS THE ANSWER

Overcoming and outpacing ALPHA DECAY has been the prime focus point of our scientists and market experts driving the MODELOMNI Technology Lab.

Diversification and constant conception of trading models is the only way to outpace ALPHA DECAY and deliver performance.

READ MORE HOW MODELOMNI OUTPACES ALPHA DECAY

The Technological Race

“The good old days” of static, traditional methodologies, designed by trading professionals and academics to perform over time are gone and unlikely to ever come back.

Only technology driven companies with the most forward thinking mindset will be able to deliver viable, profitable solutions today and going forward.

In the sphere of Alpha Generating trading models, due to our never-ending R&D activities, MODELOMNI is at the forefront of the Technological Race.

MODELOMNI's Drawdown performance typically outperforms funds and indexes.

Our models tend to recover from negative performance quicker than other products.

Our Supervised, Unsupervised and Deep Learning Neural Network models are highly advanced and robust.

Teamed with our strict Risk Management rules, hardcoded in each and every single one of our models (free from human emotions, overtrading and poor decision making), they strive to cut losses fast and recover quickly.

MODELOMNI is dedicated to achieving performance with Minimum Risk.

MODELOMNI’s supervised, unsupervised Machine Learning algorithms and Neural Networks are designed with stringent Risk Management as the primary driver to achieving performance.

Artificial Intelligence is not subject to human emotions. Our models would never try to "make back a loss" by doubling down on a lost trade. We do not engage in any Martingale methodology or ever deviate from our AI powered systematic trading methodologies.

The inherent Risk Management rules are hardcoded into all of our trading models to ensure a consistent trading approach regardless of previous trading results.

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MODELOMNI was conceived as an efficient Alternative Investment / Portfolio Diversification Solution, uncorrelated to all Asset Classes.

MODELOMNI was conceived as an efficient Alternative Investment / Portfolio Diversification Solution, uncorrelated to all Asset Classes.

MODELOMNI was conceived as an effective and high performing diversification option for investment professionals.

Should you be looking to reduce your exposure to correlated assets, MODELOMNI offers an efficient viable solution, that is also likely to become a top performer in your portfolio.

READ MORE HOW MODELOMNI HELPS PORTFOLIO DIVERSIFICATION