Devine Group's Digital Asset's (DG**) Proprietary Quantitative Models And Algorithms For Quantitative Investment Management.
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At Devine Group, We Provide Systematic Investment Strategies For The Electronic Markets Using Cutting-Edge STEM advancements.
Modern finance and economics play crucial roles in shaping global markets, investment strategies, and social systems.
However, they are not without their inefficiencies, which can stem from a variety of factors.
Our Processes:
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Information Asymmetry: There is often an imbalance of information among market participants, where some individuals or institutions have access to proprietary IP, infrastructure and data with near-zero execution latency and minimal noise when compared to other participants.
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Advanced Quantitative Methods: Utilizing sophisticated quantitative methodologies, we systematically decode complexity and identify latent opportunities. Through the application of advanced machine learning algorithms, rigorous statistical frameworks, and the comprehensive analysis of extensive datasets, we uncover signals. Our methodologies transforms stochastic phenomena into actionable intelligence, enabling precision and innovation in our investment strategies.
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We collaborate with leading financial and academic institutions to aggregate research and proven quantitative strategies, these consist of low to high frequency providing a single access point to institutional quantitative portfolio management. By leveraging established track records and world-renowned managers, we deliver customized data-driven solutions.
The Systematic process by which our research and development is implemented into multiple quantitative strategies under a structured regulated investment management framework.
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Devine Group delegates structured oversight of trading and investment activities to our registered investment management entities, Devine Group itself is strictly a research organization.
This ensures that external allocators of the regulated investment management entities have full transparency into the structure and the specifics of how their mandates are implemented.
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External Allocator Options:
(1) SMA Structure (Client-Controlled Custody): Clients maintain custody of their funds on designated exchanges through a Separately Managed Account (SMA) structure. Our registered investment management entities hold discretionary authority over trading decisions, managing the account on behalf of the client, while the client retains full control over their assets.
(2) Fund Structure (Client-Controlled Custody): Our fund structure under the investment management entities is designed with client trust, security, and autonomy as central priorities. Unlike traditional fund arrangements, where assets are transferred to the fund manager’s custody, our structure allows clients to retain full control of their funds while subscribing to our funds via APIs, which provide us with further operational due dilligence and customization.
(3) Multi-Signature Custody Solution: For enhanced security, clients can opt for a multi-signature (multi-sig) custody solution, where the entity shares custody with the client. This ensures that no single party can access or move funds independently, adding an additional layer of control and protection from counterparty risks.
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