Quant × AI × Commerce

Turn Signals into Revenue: end-to-end from quant trading to AI commerce

Built on 20+ years of quantitative know-how, we blend AI content, cloud architecture, and no-friction tools so SMEs can launch fast and scale confidently.

Multi-market intelligent strategies
AI content automation
Secure, compliant, auditable
* Mock screens. Actual UI depends on project configuration.

How we drive your growth

Grounded in “verifiable data” and “deployable tools,” focused on ROI.

Quant / AI Signals

Multi-timeframe strategies, risk control, box-range detection, live monitoring & backtesting.

AIShop, modular commerce

JSON-driven, fast to launch; supports multi-vertical, multi-brand, multi-warehouse.

Channel & Advisory

From planning to operations, we co-build KPI matrices and repeatable growth engines.

AITrader · Intelligent Program Trading

  • Consistent multi-timeframe analysis (short / swing / mid / long)
  • Core box model (P1–P4) + support/resistance + trend structure
  • Risk dashboards: risk coefficient, expected return, profit-risk ratio
  • Shared terminology → clearer execution, less emotion-driven mistakes

Manager Finance Expert System outputs daily text analysis for the market and individual stocks, spanning short (1–3d), swing (5–9d), mid (18–27d), and long (54–72d) cycles.

  • Six stock classes (A–F) + hotkeys (F1–F9) for rapid workflows
  • High-accuracy forecasting; global patents in process
  • Users are encouraged to learn system terminology & execution guides
Mechanics / Statistics
Box ranges, risk coefficients, expected returns
Numerical Analysis / ODE
Support, resistance, stop loss, trend (up/down)
Dynamic Simulation (4 quadrants)
Long/short potential, turn-point detection
Profit/Loss & Hedging Theory
Reversal search, fake breakout/fake breakdown
F1 Text Analysis: A deep-dip rebound, B spread plays, C daily H/L, D strengthen/soften, E dual-break, F single stock
F3–F6: Post-close data, investment analysis, level tracking, online help
Colors: Red = uptrend pressure; White = consolidation; Blue = strength/weak ref; Green = below support; Yellow = oversold rebound; Gray = intraday short pressure
Key Reports: Support/Resistance, Trend, Deviation, Risk Coef, Expected Return, Profit-Risk Ratio
Box Model (P1–P4)
P1 Bull Top | P2 Bull Bottom | P3 Bear Top | P4 Bear Bottom
Ex: Breakout above P3 = swing bottom confirmed → buy signal
Terms
Buy-the-dip, Short squeeze, One-day reversal, 3-day top, 100-day bottom, Fake breakout / Fake breakdown, Mark-up/Mark-down distribution…
At resistance → trend-up test → probe support → hold support → re-test trend
If break through → must have volume; no volume → likely a fake breakout

Break support → stop loss → enter short; cover on sharp drops
Clear resistance → retest → if holds → enter long; add on strong spikes

Fail at resistance → merely a rebound; weak rebound → likely deeper cut
Strong rebound → buy dips → buy-to-sell → sell-to-buy → flat at close = winner

Ready to operationalize your strategy?

We run a 3-stage plan: PoC → Pilot → Rollout. Turn market insights into trackable operating numbers.

Implementation success
Based on delivered projects

FAQ

Yes. We provide strategy templates and APIs, supporting custom indicators and position rules, and can connect to software/broker interfaces (market-dependent).

JSON/REST first. Products, inventory, orders, members, and reconciliation are supported. We can connect to your existing ERP or our lightweight ERP module.

Typical delivery is 2–8 weeks depending on scope. Pricing follows the PoC / Pilot / Rollout stages. After NDA, we share a detailed quotation and milestones.
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