The core of our solution is a software algorithm called MAARS. MAARS provides a new capability in identifying and ranking complex financial products for investment portfolios. Unlike existing systems, users tell MAARS exactly what they are looking for and even if there is nothing that meets these requirements exactly, MAARS will always return a list of the ranked closest fit products. The MAARS suite of Investment Management Applications consists of:
MAARS FMA (Fund Management Analytics) provides analysis on the performance and risk parameters of Funds (Mutual Funds), to enable consistent selection of the best funds for client investment portfolios.
- Fund Risk assesment: check the level of risk in your current portfolio of funds
- Fund Selection: providing analysis of Mutual Funds to enable creation of Approved Funds Lists for the Investment institution
- Fund Portfolio Construction: providing analysis of the Approved Funds Lists in order to populate a customer Asset Portfolio
- Underlying Asset Visualisation: investigate in depth what are the underlying assests your funds are made of and what is the total mix of your funds portfolio made of.
MAARS SMA (Stock Management Analytics) provides analysis on the performance and risk parameters of Corporate Stock to enable consistent selection of the best stocks for client investment porfolios providing fundamental, technical and sentiment analysis on multiple parameters simultaneously:
- Build your OWN mix of fundamental, technical and sentiment parameters
- Be in control over your investment window of opportunity
- Backtest your investment strategies
- Choose the best stocks to go 'Long/Short' 'NOW'
- Find the right stocks to build option positions and synthetic stocks
- Check your current portfolio and see if it is the 'right time' to Exit your positions
- Design your investment strategies in accordance with your style of investment
- Do 'What if' scenarios and fine-tune your investment strategies
MAARS ETF-MA (ETF Management Analytics) provides analysis on the performance and risk parameters of Exchange Traded Funds to enable consistent and personalised selection of the best ETFs.
- Build your own ETF portfolio
- Have a balanced mix of Long/Short positions
We turn Complex data overload into manageable information for effective decision making.






