The science and technology of investing

The solution that powers the best customer journeys in investment management. One platform. One API. Endless investment opportunities.

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Product capabilities

Allocation analytics that matters

Next-generation allocation analytics, combining advanced AI algorithms and deep portfolio construction expertise.

Superior adaptive portfolios

mirai's adaptive risk metrics adjust rapidly to changing market conditions, resulting in portfolios with higher Sharpe ratios than traditional approaches.

Stay ahead of emerging risks

Run seamless, forward-looking scenario analysis of emerging macro risks to assess their potential impact on portfolios before the market does.

Powering solution across industries

Stay competitive at all times

Swift delivery of investment products across asset classes and strategies. Improved risk-adjusted performance at scale across all liquid markets.

Optimize client retention

A sleek technology solution developed to deliver best-in-class investment performance, tailored to the needs of your high-net-worth clients.

Create value through smart allocation

Expand your portfolio management capabilities beyond fundamentals to enhance performance and reduce volatility. Strategies integrating convictions with risk, liquidity, and trade friction considerations generally outperform those based solely on fundamentals and macro views.

Use cases that open new doors

Long-only strategies

Implement optimal long-only equity or fixed income strategies through a disciplined approach that enforces risk limits and meets investment constraints.

Active index tracking

Unlock the power of active index tracking by delivering active return while maintaining index alignment within a defined tracking error.

Thematic investing

Capitalize on the trends shaping tomorrow’s economy. Define bespoke investable universes and construct optimal active indexed or long-only portfolios powered by mirai's advanced allocation analytics.

Balanced portfolios

mirai optimizes balanced portfolios and target-date funds through its unique allocation approach to mixed-asset portfolios. Its adaptive asset allocation algorithms further adjusts portfolio blends in response to macroeconomic shifts.