
Signal Hill provides an industrial-grade signal discovery software suite for portfolio managers, strategists, and quants, enabling cross-asset signal generation across long/short equity, sector rotation, global macro, and credit strategies. The platform adapts to discretionary or systematic workflows, allowing users to screen for opportunities like value/momentum divergence in US large caps or analyze the impact of Fed rate cuts on the DXY. It supports real-time signal generation and scenario analysis, such as assessing the effect of HY spread widening on a company's rolls.
Funding
Funding not disclosed
Founders
Product
Problem
Portfolio managers and strategists often struggle to identify actionable, cross-asset signals in real time, especially when balancing discretionary judgment with systematic workflows. Traditional tools are fragmented, forcing users to manually combine data sources and models, which slows decision-making and limits the depth of scenario analysis across asset classes.
Solution
Signal Hill delivers an industrial-grade signal discovery software suite that unifies cross-asset intelligence for portfolio managers, strategists, and quants. The platform supports both discretionary and systematic investment styles, enabling users to generate real-time signals across long/short equity, sector rotation, global macro, and credit strategies. It allows users to screen for specific opportunities—such as value/momentum divergence in US large caps or European cloud companies sensitive to trade tensions—and to model macro scenarios like Fed rate cuts or yield curve inversions. The suite is designed to adapt to existing workflows, providing tools for pair trades, market-neutral strategies, spread analysis, and default risk assessment without requiring a shift in investment approach.
Target Audience
Primary customers are portfolio managers, investment strategists, and quantitative analysts at asset management firms, hedge funds, and financial institutions who need cross-asset signal discovery and scenario analysis.
Features
- Real-time signal generation for long/short equity, including single-name opportunities, pair trades, and market-neutral strategies
- Sector rotation analytics that identify leadership shifts and optimal timing based on macro conditions like yield curve inversions
- Global macro modeling that forecasts cross-asset performance, such as EM equities/credit under risk aversion or DXY impact from Fed rate changes
- Credit analysis tools for spread analysis, default risk, and relative value, including scenario testing of HY spread widening on financial statements
- Workflow-adaptive interface supporting both discretionary and systematic investment styles