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GRAYMAT Research & Management has been formed with the aim of pooling knowledge and technological expertise from the fields of statistical sciences and finance with a sole purpose: beat the markets.


Away from the classical strategies a.k.a. "technical or fundamental analysis", we have chosen the path of full strategy automation and learning from past data.


As a consequence, we have constrained our activities to high frequency trading without human interaction.


We strongly believe in risk reduction and profit boosting by implementing multi-dimensional portfolios characterized by market symbol diversification, timeframe diversification and model diversification.


Our experience with some very successful systems has led us to believe that trading in high frequency markets deserves a totally new approach with totally new expectations in terms of profitability and risk control. The celebrated trade-off between risk and return may well have to be re-evaluated by an order of magnitude. However, as the saying goes, past performance is not necessarily indicative of future results.

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