Global Financial Engineering, Inc. is a closed-door, multi-asset proprietary trading firm. Founded and led by Dr. Glen Brown, we specialize in designing, testing, and deploying high-performance trading strategies across equities, forex, commodities, fixed income, and digital assets—entirely in-house, under strict confidentiality.
Our Mission & Vision
To engineer market-leading alpha by fusing scientific rigor with transformative technology, guided by disciplined risk management and a culture of perpetual innovation.
Strategic Specialization
- Multi-Tier Trend-Following: Nine default GATS strategies spanning M1 through M43200, optimized for each timeframe’s unique structure.
- Volatility & Liquidity Arbitrage: Proprietary frameworks—MEMH (Market Expected Moves Hypothesis) and GASBET (Global Adaptive Statistical Break-Even Trigger)—for adaptive entry and exit.
- Diversified Portfolios: Futures-only accounts, ETF baskets, and bespoke equity portfolios targeting 36%+ annualized returns, dynamically rebalanced.
Smart Technology Stack
- AI-Enhanced Signal Generation: Deep-learning pipelines for regime identification, anomaly detection, and cross-asset forecasting.
- Low-Latency Automation: From signal to execution via our custom FIX-based engine and smart-order routing, minimizing slippage.
- Blockchain Settlement: Private-chain smart contracts for trade settlement, collateral management, and immutable audit trails.
- Risk Automation (DAATS ): Dynamic Adaptive ATR Trailing Stops integrated with our Darwin Risk Engine for real-time drawdown controls and position sizing.
Integration with GATS
At the core of our operations is the Global Algorithmic Trading Software (GATS), a modular platform that orchestrates data ingestion, signal processing, execution, and post-trade analytics. GATS’ extensible API framework enables rapid deployment of new AI models, blockchain services, and custom risk modules, ensuring our edge remains sustainable.
Our Guiding Framework
Every strategy and technology initiative is governed by Dr. Glen Brown’s Nine-Laws Framework for Adaptive Volatility & Risk Management. This ensures emotional discipline, resilient systems, and sustainable growth:
- Cultivate Inner Equilibrium: Automated guardrails (pre-trade risk checks, stop-loss limits) to prevent impulsive deviations.
- Pursue Relentless Growth: Continuous feedback loops feeding live performance into model refinement.
- Serve with Impact: Capital allocation aligned to firm-wide profitability and risk objectives.
- Preserve Vitality: Adaptive drawdown controls that scale risk budgets based on volatility regimes.
- Foster Meaningful Connections: Cross-desk knowledge sharing via our centralized analytics hub.
- Seek Spiritual Alignment: Technology initiatives evaluated against our core mission for purpose-driven innovation.
- Excel in Purposeful Work: Rigorous QA and code-review standards for every algorithmic deployment.
- Steward Financial Wisdom: Conservative capital-allocation rules anchored in long-term objectives.
- Build a Lasting Legacy: Infrastructure resilience through redundancy, disaster recovery, and continuous monitoring.
Contact & Confidential Inquiries
Global Financial Engineering, Inc. maintains a strictly proprietary model.