Product: The product was established to take advantage of the unique environment set by the convergence of the following three trends: large amounts of assetprice-relevant information becoming available, Big Data technologies making it possible to process and make sense of this information, and Machine Learning technics reaching a point where Artificial Intelligence can now be scalable. It systematically trades US equities based on rigorous machine learning, artificial intelligence, and statistical techniques to produce superior, uncorrelated returns. Also it uncovers non-obvious relationships by processing large amounts of unstructured data and leveraging computing brute force and employs disciplined and dynamic statistical Risk Management techniques to its portfolio.