We are a quantitative investment management firm that combines timeless academic research with cutting-edge technology. Our team of scientists and investment professionals has collaborated for over 10 years, bringing together collective experience spanning more than a century. Leveraging financial economic theory, we employ advanced machine learning and AI to provide informed market insights and enhance capital efficiency.
Our investment strategy is underpinned by the intersection of quantitative asset pricing and behavioral finance. Through a data-driven approach, we design econometric and statistical models that systematically identify market inefficiencies to generate excess returns. We believe sophisticated investment analytics should be accessible beyond large institutions.
Headquarters
Singapore
Registration
UEN: 201734851Z
Founded
2017
Memberships
Singapore Fintech Association Member
Parallax reveals depth by viewing from two different vantage points. In investing, we achieve superior insights by simultaneously analyzing markets through fundamentals and technicals — two lenses that most investors view separately.
Traditional investing has long been divided between fundamentalists and technicians. We believe the future belongs to those who can seamlessly integrate both perspectives, creating a more complete understanding of market dynamics.
The foundation that grounds everything in economic reality
Company financials, ratios, and intrinsic value calculations
Macroeconomic indicators, industry trends, and business cycles
Systematic risk evaluation and factor analysis
Market behavior, sentiment, and real-time price dynamics
News processing, social sentiment, and market psychology
Technical indicators, momentum signals, and trend analysis
Cognitive biases, market inefficiencies, and behavioral patterns
While most investors specialize in either fundamentals or technicals, we synthesize both perspectives through advanced AI and machine learning. This convergence reveals market opportunities invisible to single-lens approaches, enabling more informed investment decisions and improved capital efficiency. Fundamentals ground our analysis in economic reality, while technicals capture the dynamic behavioral forces that drive short-term market movements.
Our investment methodology is built on rigorous financial economic theory, combined with cutting-edge technology and strict compliance standards for institutional-grade investment management.
Proud member of Singapore's premier fintech industry association, supporting innovation in financial technology and quantitative investment management.
Learn moreOur investment framework is built on financial economic theory, incorporating Modern Portfolio Theory and behavioral finance principles.
Learn moreWe maintain institutional-grade compliance standards, data security protocols, and systematic risk management processes across all investment strategies.
Learn moreHave questions about our platform or want to learn more about institutional-grade investment analytics? We'd love to hear from you and discuss how our AI-powered insights can enhance your investment strategy.