Professional software-based trading solutions that analyze, optimize, and execute for superior risk-adjusted performance outcomes
A technology-enabled trading firm specializing in systematic, data-driven investment strategies
TauCubed combines advanced quantitative analysis with sophisticated software engineering to deliver consistent, risk-managed trading performance. Our proprietary systems provide both backward and forward-looking analysis to produce reliable high-impact investing results.
We believe in the power of disciplined, systematic approaches to markets. By removing emotional decision-making and leveraging computational advantages, we professionally manage trading positions for improved risk-adjusted outcomes.
Our commitment to continuous innovation, rigorous testing, and transparent risk management has established us as a trusted partner for sophisticated investors seeking technology-driven trading solutions.
Comprehensive trading solutions powered by advanced technology and quantitative expertise
Advanced statistical modeling and backtesting frameworks that evaluate trading strategies across multiple market conditions and time horizons.
Automated, electronic execution systems that implement trading plans with precision, consistency, and minimal market impact.
Sophisticated position sizing, portfolio diversification, and real-time risk monitoring to protect capital and optimize returns.
Continuous analysis of market microstructure, price patterns, and behavioral dynamics to identify sustainable trading opportunities.
Comprehensive reporting and attribution analysis providing transparency into strategy performance and risk metrics.
Ongoing refinement and adaptation of trading models to evolving market conditions using machine learning and optimization techniques.
Leveraging cutting-edge software and infrastructure for competitive advantage
Our proprietary trading platform represents the convergence of financial expertise and software engineering excellence. Every component is designed for reliability, speed, and scalability.
A disciplined, four-phase methodology for consistent trading excellence
Identify market inefficiencies through rigorous quantitative research and statistical validation
Design and backtest trading algorithms across diverse market conditions and asset classes
Evaluate position sizing, correlation, and drawdown scenarios to ensure prudent capital allocation
Deploy strategies with continuous performance tracking and real-time risk management oversight