Aurian is a modern financial house engineered for robustness and stability. Through systematic, algorithm-driven trading strategies and structured governance, we pursue stable, risk-adjusted growth across market cycles.
Aurian operates a systematic investment framework designed for investors who want their capital to compound with rigor, not opinion.
Strategy behaviour is systematic and continuously validated through data.
Models respond to evolving market conditions through predefined logic rather than emotion or narrative.
At the portfolio level, Aurian combines multiple uncorrelated strategies across distinct market sectors and time horizons. This structural diversification is designed to moderate volatility, contain drawdowns and allow returns to compound through interaction rather than concentration.
Transparent economics, controlled exposure parameters and disciplined governance form the foundation of the platform.
The result is durable, risk-adjusted growth across market cycles.
Aurian's algorithmic portfolio is structured to support steady performance across changing market environments, prioritising stability over opportunistic gains. Investors retain direct, real-time visibility into performance and portfolio activity through their own brokerage account.
Illustrative example for demonstration purposes. Past performance is not indicative of future results.
In just a few simple steps you will be ready to take your financials in control.
A hassle-free process built for clarity and efficiency. Open your regulated account, allocate capital, and gain immediate access to Aurian's systematic portfolio.
Your capital stays accessible, anytime. Withdraw profits or principal directly through your brokerage account using a clear, standardised process.
Aurian operates at the intersection of finance, technology and rules-based systems. The firm's leadership combines quantitative research and system engineering, focused on transparent, risk-controlled strategy design.
Performance is reviewed continuously against predefined benchmarks and structural assumptions. Research and data analysis remain ongoing, ensuring the framework evolves deliberately while preserving its core discipline.
We convert deep market research into executable strategies designed to capture structural inefficiencies.
An analysis of current macro conditions and what they mean for systematic portfolio positioning in the near term.
Read moreCentral bank signalling and its near-term implications for cross-asset correlation and positioning.
Read moreWhat extended high rates mean for our systematic strategy portfolio and forward-looking positioning.
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