FinMI transforms raw market data into structured investment decisions. Built on mathematical proof, verifiable truth, and the Zero-Hallucination Architecture.
Every metric traces to a source. Every score has a methodology. Every claim survives a deep dive.
LLMs generate text. Numbers come from deterministic pipelines. No exceptions.
Advisory → I.AM. → RE. Maximum 90% autonomy. The 10% human contribution is hard-coded.
F1 + F2 + F3 + F4 scoring on every output. Below 100% triggers mandatory disclosure.
USP Evidence Standard
No vanity metrics. No unsubstantiated claims. Click "Evidence Standard" on any feature to see the methodology behind the promise.
Real-time portfolio P&L, active positions, win rate, Sortino ratio, and drawdown monitoring in a single command center.
Every strategic decision passes through a cryptographically signed approval workflow with biometric authentication.
AI-powered 8-section analysis reports following Category B1/B2/C frameworks with structured intelligence output.
Fund Conviction Score, Convexity Ratio, and Implied Probability of Success visualized in real-time.
Class A/B/C position management with Trader Diary, Shadow Ledger for rejected trades, and full audit trail.
PDUFA dates, FDA decisions, 13F filings, earnings, and clinical trials with time-sensitive event alerts.
FRED API-powered macro indicators with VIX, 10Y Yield, Credit Spreads, and Regime Toggle visualization.
Sunday 23:00 EST automated audit with proposed parameter updates, statistical justification, and Approve/Reject workflow.
Golden Standard calibration with progress tracking, data health monitoring, and I.AM./RE mode unlock countdown.
Every analysis output displays F1 (Freshness), F2 (Coverage), F3 (Temporal), F4 (Integrity) credibility scoring.