ΩSignal is an investment app that allocates your portfolio dynamically as market regimes shift — powered by symbolic tensor signals, validated live on Numerai.
Current Status
Live paper trading on Alpaca since December 2025: +24.97% portfolio return, +17.11% alpha vs QQQ, Sharpe 2.72, Calmar 6.93
Numerai Signals: fncV4 ~2.2, corrV4 ~1.8, 88 consecutive rounds with zero submission gaps — top-tier signal orthogonality confirmed
Internal backtests across QQQ, ARKK, and XLE universes (2020–2026) show consistent benchmark outperformance across all risk profiles
Signal API in paper mode; Rain Atlas macro dashboard in beta; Alpaca broker bridge live
Bootstrapped to date, zero institutional capital raised
Pre-seed round open: $2.5M SAFE, post-money
Problem or Opportunity
Quantitative investment models are trained on historical correlations that break down exactly when they're needed most — at market regime transitions. Every major dislocation of the last six years (Covid 2020, rate pivot 2022, regional banking shock 2023) caught the industry's most sophisticated ML models offside. Incumbents like Bloomberg and FactSet excel at descriptive analytics but offer no structural product for detecting regime shifts ahead of price confirmation. The $35B+ financial data market has a wide-open gap at the signal layer.
Solution (product or service)
ΩSignal is a systematic signal engine that treats financial markets as symbolic dynamical systems rather than statistical processes. It encodes price behavior into symbolic sequences and extracts structural features — entropy, mutation, resilience, and complexity — that measure regime stability before price confirms any transition. A four-layer intelligence pipeline (Macro → Sector → Equity → Portfolio) translates these signals into dynamically rebalanced, investable portfolios. The engine is externally validated in live, adversarial conditions through Numerai Signals.
Business model
ΩSignal operates a four-tier SaaS model targeting retail quants, professional traders, and institutional clients. Free tier drives top-of-funnel growth. Pro ($49/mo) and Elite ($299/mo) convert active traders seeking signal access, portfolio optimization, and backtesting. Institutional contracts ($25K–$100K/yr) target hedge funds, prop desks, and family offices via a white-label API. Revenue projection (base case): $402K in 2026, $6M in 2027, $26.2M in 2028, reaching $97.8M by 2030. The hardest problem — generating persistent, validated alpha — is already solved.