Results and numbers
Forgehammer Technologies' tech engine has consistently proven it's efficiency and profitability.
The portfolio consists of a combination of uncorrelated strategies, each designed to exploit distinct market inefficiencies entirely build by the technology.
By leveraging our technology to build a strong process including sourcing of high-quality historical data, specialized analysis engines and top-tier brokers for the target niche markets, Forgehammer maintain a competitive edge through time.​
What sets Forgehammer´s solution apart is the near-zero correlation with broader market movements, ensuring superior risk-adjusted returns. This is demonstrated by the company´s long-term Sharpe Ratio exceeding 3.0 highlighting the efficiency of our tech.
Sharpe Ratio
3.5+
Profit Factor
2.0+
Track record in months
24+
Avg. yearly return in %
30-50