Ritabrata has wide-ranging experiences as a professional quantitative trader,
investment strategist and technologist. He is an alumni of IIT Mumbai and
holds multiple software patents. He previously worked for Oracle and is a
professor of artificial Intelligence and quantitative finance at World Quant
We bring together a uniquely qualified team of professional quantitative analysts, AI / machine learning experts, and financial
professionals with experience as risk managers. We are devoted to the practical application of advanced statistical models and
autonomous learning research and investment systems.
Our proprietary AI platform empowers self learning algorithms that are free from human sentiment and bias, allowing objective
investment decisions to be made by systems that are robust, scalable, and flexible.
Our unique capability to deploy an artificial intelligence regimen that consistently generates alpha for any asset class, and in a
timely and cost effective manner gives our firm an edge in the ever changing landscape of investment management.
TrueRisk Labs builds proprietary Artificial Intelligence and Machine Learning Systems that perform Investment Research and make Trading Decisions.
Our AI is constantly learning, evolving, and executing decisions in the most strategic manner possible to benefit our clients and investors.
WE WORK WITH DATA PROVIDERS
We aggregate data sources and structure them into datasets and investment vehicles that our AI models can analyze and output into new revenue models.
WE WORK WITH INVESTMENT MANAGERS
We create AI-driven portfolios that rank, sort, and filter through Big Data, adding value to client’s existing data sources, to uncover non-linear patterns before they have market impact.
WE WORK WITH DECISION MAKERS AND RESEARCHERS
Our AI systems are modular, flexible, and robust. We are able to create new models and predictive analytics for any organization seeking to outsource their problem-solving needs to an experienced team combining expertise in advanced AI development with an understanding for risk management and financial markets.