
Breakthrough macro factor risk models & analytics
Discover advanced analytics and risk modelling designed to reveal hidden macro influences, providing clarity on your portfolio’s exposures, risks, and opportunities.
Our Partners

















Our Solutions
We manage the macro. You focus on the alpha
Strengthen your investment process with data driven repeatable and consistent macro perspectives in your portfolio. Easy to interpret and deploy.
To do this, we employ data science, machine learning and modern technology architectures. We value rigour, accuracy and effortless integration into client workflows.


Our Risk Models and Analytics help investors understand and measure how macro factors impact their portfolio risk and return


A robust cross-asset, valuation engine to identify dislocations, between macro information and price.


Enables investors to identify macro regimes and build portfolios resilient to macroeconomic shifts.
We manage the macro. You focus on the alpha

Latest insights
Make informed investment decisions with unique insights
Topical observations from the Qi macro lens. Build your investment roadmap with the best-in-class quantitative analysis and global data.


US Homebuilders in focus


Explaining the impact of Trumps tariffs in Q1 2025
Watch video #4 in our partnership series with Omega Point


1. Small Caps vs. Large Caps & Real Rates
2. EURNOK - cheap "riskoff" hedge
3. Tactical Asset Allocation update