RAIIS

Operate Smarter.

RAIIS is a plug-in portfolio management system that helps financial institutions modernize processes, reduce operational friction, and improve accuracy.

Built on rigorous mathematical principles and validated in realistic simulations, it integrates seamlessly with existing workflows and adapts to real-world market events.

WHAT WE ENABLE

STRATEGIC FOCUS

Focus on strategy while automation handles complexity.

PRECISE SOLUTIONS

Custom solutions for operational needs.

AUTOMATED EXCELLENCE

Transform manual tasks into streamlined, automated workflows.

RAIIS automates portfolio management workflows—from data ingestion to risk analytics, rebalancing, and reporting—through validated quantitative models.

Our Solutions

SALADIN

RAIIS: SALADIN

Enterprise framework for deploying and scaling RAIIS across institutional workflows.

BACKGEN

RAIIS: BACKGEN

Gateway trial sandbox for testing, integrating, and validating RAIIS in a risk-free environment.

Reducing manual workloads, accelerating decisions, and minimizing operational errors.

Research

Our founders have two papers forthcoming in leading finance journals:

🌱 Sustainability
Green Fees

Forthcoming in International Review of Financial Analysis

Ranked in 11 SSRN Top Ten Lists • S&P Global Market Intelligence Research Paper Series

View on SSRN
🤖 AI & Risk
DRL Portfolio Management

Forthcoming in Quantitative Finance

Risk-focused evaluation of deep reinforcement learning under market stress

View on SSRN
🇨🇭 In Switzerland
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