Throughout its phases, Quantlytica will introduce a range of products designed to meet the needs of a diverse user base and address various optimization requirements.

Asset Management

Asset Management is our flagship product, designed to automatically generate yield and alpha by leveraging market opportunities. It minimizes research time, automates investments, and optimizes yields dynamically, ideal for passive investors without deep market or DeFi knowledge.

Quantlytica simplifies wealth generation through strategies like Smart DCA, AI Grid Trading, and yield farming. Our AI-driven approach removes the need for human decision-making, making sophisticated DeFi investing accessible to everyone.

We plan to onboard strategies from traditional fund managers, DeFi builders, and project developers, ranging from yield maximization and TVL acceleration to bridge optimization.

Quantlytica Index

Our goal is to construct multiple indices that embody both robustness and accuracy, reflecting the current state of the cryptocurrency market. We select top cryptocurrencies using quantitative factors from a whitelist and apply an equal-weighting approach to ensure balanced contributions.

These risk control strategies protect investors from unnecessary risks and provide a reliable market indicator. This index integrates fundamental and quantitative factors, offering a comprehensive and dynamic investment tool.

Quantlytica will collaborate with trading firms and crypto professionals to deliver various indices. Users can even leverage our future tools to create their own indices and become index fund managers.

Fund SDK (Phase 2)

Quantlytica Fund SDK is designed to empower users to develop, manage, and monetize investment strategies seamlessly. Leveraging the latest advancements in AI, our SDK integrates sophisticated tools and a user-friendly interface, making it accessible for both seasoned investors and newcomers.

Risk Management (Phase 3)

Risk management in Quantlytica is a comprehensive process that ensures the safety and profitability of users' investments. It involves identifying, assessing, and prioritizing risks, followed by deploying strategies to mitigate these risks and maximize opportunities.

We offer robust, customizable features tailored to individual needs. Users can integrate their data feeds and train custom models to align strategies with unique market conditions. Our platform supports flexible risk parameters, allowing dynamic adjustments as market conditions change. With AI-powered continuous monitoring and real-time simulations, users gain accurate insights for better decision-making.

Our Risk Management SDK support covers on-chain and off-chain activities, ensuring holistic risk management. Detailed documentation will be ready to facilitate seamless integration and optimization of risk strategies.

For more information on Quantlytica's offerings, contact us.

© 2024 Quantlytica, Inc. All rights reserved.
DeFi Version
CeFi Version