Global Financial Engineering is a Financial Engineering Consultancy and a Proprietary Trading Firm, specializing in is the application of mathematical methods to the solution of financial problems.
Global Financial Engineering use machine-learning, applied mathematics, and techniques from modern statistics to develop and refine models of the financial markets and to develop trading algorithms based on those models.
Financial engineering is a multidisciplinary field relating to the creation of new financial instruments and trading strategies. It is the process of employing mathematical models, financial theory and computer programming skills to make pricing, hedging, trading and portfolio management decisions. Financial engineering aims to precisely control the financial risk that a strategy or a financial product takes on.
Financial engineering can be applied to many different asset classes including equity, fixed income (including bonds), commodities such as oil or gold, as well as derivatives, swaps, futures, forwards, options, and instruments with embedded options.
We use computational and mathematical finance knowledge to determine the potential and risks of a financial investment instruments within our various Proprietary Funds.
Global Financial Engineering brings a scientific approach to trading the global financial markets. We operate within sophisticated virtual computing environments that puts our financial engineers at the forefront of innovation in the world of algorithmic trading.
We are accountants, economists, mathematicians, computer scientists, statisticians, physicists and financial engineers. We research and develop automated trading algorithms using advanced machine learning techniques including but not limited to Regression, Classification, Clustering, Dimensionality Reduction, Ensemble Methods, Neural Nets and Deep Learning, Transfer Learning, Reinforcement Learning, Natural Language Processing, and Word Embeddings.
Our Expert Team Of Financial Engineers
Our financial engineering experts constantly evaluate the best ways to put our capital to work.
Our portfolios aim to minimize risk while maximizing returns. Our research has shown that allocating our capital across different assets is the most reliable way to grow our wealth. This is what will sets us apart from the competition.
Dr. Glen Brown
President & CEO
Dr. Glen Brown is currently the President & CEO of Global Accountancy Institute and Global Financial Engineering. He is responsible for Planning, Organizing, Leading, and Controlling all areas of business operations.
Dr. Glen Brown
Head of Trading & Investment
Trading focuses on short-term buying and selling, while investing involves buying and holding securities for an extended period of time.