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miraiwealth

mirai offers AI‑powered allocation analytics and adaptive risk metrics that help wealth managers construct portfolios with higher Sharpe ratios and lower volatility. The platform enables forward‑looking scenario analysis of emerging macro risks and rapid delivery of investment products across asset classes, allowing high‑net‑worth clients to benefit from smarter allocation decisions. By integrating convictions, liquidity, and trade friction considerations, mirai enhances performance while reducing risk.

Updated 15 days ago

Funding

Funding not disclosed

Funding rounds are not available yet.

Founders

Founder details are not available yet.

Product

Problem

Investment managers often rely on static allocation models and limited scenario tools, making it difficult to adjust portfolios quickly to emerging macro risks and to maintain strong risk‑adjusted returns across liquid markets.

Solution

Mirai offers an analytics platform that combines AI‑driven allocation algorithms with deep portfolio construction expertise to generate adaptive risk metrics that respond rapidly to market changes. The system enables forward‑looking scenario analysis of emerging macro risks, allowing managers to assess potential impacts before they materialize. By integrating convictions with considerations of risk, liquidity, and trade friction, Mirai helps create portfolios that achieve higher Sharpe ratios than traditional approaches. The platform supports both long‑only and active‑index strategies, enforcing risk limits and investment constraints while delivering scalable performance improvements for high‑net‑worth client portfolios.

Target Audience

Primary customers are wealth managers, asset managers, and institutional investment teams that serve high‑net‑worth clients and require advanced allocation analytics to improve risk‑adjusted performance.

Features

  • AI‑enhanced allocation engine that continuously recalibrates asset weights based on real‑time market signals
  • Adaptive risk metrics that adjust portfolio risk profiles as market conditions evolve
  • Forward‑looking macro scenario analysis tools to evaluate emerging risks before they affect holdings
  • Integrated risk‑liquidity‑friction modeling to optimize trade execution and reduce volatility
  • Support for disciplined long‑only equity and fixed‑income strategies with enforceable risk limits
  • Active index tracking capability that delivers active returns while maintaining defined tracking error bounds
This profile is AI-generated and may contain inaccuracies.