Managing investors' assets in the financial market
using artificial intelligence.
Managing investors' assets in the financial market
SMART solutions in the
world of investments.
We are an international company specializing in financial technologies and artificial intelligence technologies, using its own algorithmic tools for trading, analyzing and processing data.
In 2016, we began large-scale data science research in the financial market and laid the foundation for our current algorithms.
Mission and vision
We create effective technological solutions in the financial market for asset management.
We ensure the reliability of assets through such factors as: competent diversification, in-depth data analysis, choosing a reliable partner broker and through sustainable investment strategies.
Every day, robots / machines are pushing traditional traders out of the market - because algorithms are faster, more accurate and more efficient, and therefore safer and more profitable.
The profitability that algorithms can achieve is almost impossible for people to achieve due to various circumstances.
Transparent interaction between the investor and the management company.
Own technological products that are not available in the world.
Our performance rivals that of global leaders in the financial sector
Minimum investment period
„No man is better than a machine, and no machine is better than a man with a machine“
Indicators of our fund
In numbers about our work
of programming and development algorithms for trading
maximum value of Drawdown
of working algorithms on real live accounts
- Algorithmic solutions for stock market trading
- Algorithmic solutions for trading and commodity markets
- Algorithmic solutions for the analysis of IPO
- Integrated solutions based on artificial intelligence
- Artificial intelligence algorithms for analyzing financial markets
A trading algorithm based on broad technical analysis strategies: trend, counter-trend, stochastic and intraday strategies based on the analysis of volatility and trading levels.
The Hydra algorithm uses different market timeframes to deeply study the short and long term market movements.
The trading algorithm uses pair trading and statistical arbitrage strategies.
The algorithm refers to statistical patterns in the financial market, such as mean reversion, the relationship between financial instruments, and other patterns that affect the price change of financial assets.
Autonomous trading algorithm based on Artificial Intelligence, namely Machine Learning and Fuzzy Logic theory.
The algorithm explores and finds market patterns in the big data world to identify various patterns.
The algorithm works like an “advisor”: it collects and combines data to identify optimal investments for participation in an IPO.
This algorithm is the “brain” of all algorithmic solutions of Everest Technologies. Cerebro collects and processes various data from the financial market and controls the operation of all algorithms.
Declaration on the risks associated with the implementation of transactions in the financial markets.
What the declaration gives
Hedge Funds and other Financial Institutions represent speculative investments and involve a high degree of risk. An investor could lose all or a substantial portion of his/her investment. Investors must have the financial ability, sophistication/experience and willingness to bear the risks of an investment in a Hedge Fund. Everest Asset Management Fund is not liable for any loss arising from the inaccuracy of the said information and materials in this site. The investor shall assume responsibility for any losses incurred.
- What is the EVEREST Asset Management Fund?
It is an international company (Hedge Fund), specializing in financial technology (Fin Tech) and AI technologies, using its own algorithmic trading, analysis and data processing tools.
- Why does the fund only work on the US stock market?
US stock markets such as NYSE, NASDAQ, AMEX are on of the largest stock exchanges in the world.
- Why is the company registered in the UAE?
The company is registered in the UAE because the UAE is a rapidly growing financial center with a strong, understandable and transparent jurisdiction.
- What is the company's responsibility to the investor?
The management company is responsible to its investors for conscientious work and interest in increasing and maintaining the investor's profit, since the profit of the management company directly depends on the investor's profit. For the serviceability of our own technological solutions. For data security and non-disclosure of confidential data.
- What guarantees do we offer?
As any financial institution, under the Law on Investment and Venture Funds, the Management Company has no right to guarantee the return on investment.
The investor should be aware that the profitability of investment funds in the past does not determine it in the future, nor is it guaranteed by the state. Investment funds are suitable for individuals or legal entities who are ready to accept the risks associated with investment, incl. risk of loss.
- In what form do we provide reports and for what period?
Reporting is provided quarterly in electronic form, as well as in any form convenient for the investor upon request.
- What control does the investor have?
The investor has full control over his assets and account.
- What is the minimum investment period?
The minimum investment period is 1 year, with the possibility of receiving dividends once a quarter.
- Do I need to pay taxes on profits?
We are ready to personally advise and accompany its investors.
- Is there an affiliate program?
- What are the consequences of early termination of the contract?
In case of early termination of the contract, the investor must pay a fine of 1% (minimum rate). If the investor has made an uncoordinated withdrawal of funds, then the investor assumes all responsibility with possible losses incurred.