We align the world’s investments with investor risk tolerance.

Despite all of our advances in technology, the world still invests the vast majority of its financial assets using a combination of gut instincts, hunches, emotionally-driven decisions, simple questionnaires, and “what we learned in college.”

As a result, when markets pull back, investors typically pull the plug—locking in horrible losses, sitting out the recovery and waiting until the market “feels safe” again to reinvest at the top, and repeat the cycle.

We are transforming the industry by empowering investors to capture an exact measurement of risk tolerance, and use that data to capture and meet expectations and quantify suitability.

Our core technology is built on the academic framework surrounding Prospect Theory which won the Nobel Prize for Economics in 2002.