Financial Engineering & Asset Management

Quantitative execution
across the world's most liquid
ecosystems.

Medaleon Investment Group is an alternative asset manager built on systems engineering and market microstructure. We algorithmically read interbank order flow to neutralize behavioral bias, with one core mission: the strict preservation of capital.

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Built on systems engineering. Refined by every market cycle.

Medaleon Investment Group began as a small circle of Market Operators, Industrial Designers and Engineers convinced that disciplined, quantitative execution could protect capital where intuition alone fails. This conviction shapes everything we build.

We are a progressive asset manager firm built on systems engineering — reading interbank order flow to neutralize behavioral bias and preserve capital across every market regime. The deeper story, and the principles behind it, are just a click away.

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MandateCapital Preservation
MethodQuantitative Execution
Primary SignalInterbank Order Flow
PostureBold, Risk-Aware

Taking on the market's hardest problems.

Markets are defined by uncertainty — which is exactly why we approach them quantitatively.

Standard models fail when markets stop behaving normally. That is exactly where we thrive. We specialize in the tail risks and edge cases that others overlook, finding our edge in pricing the unpredictable.

Our power comes from integration. We pair elite quantitative researchers and market Operators with hardware-fluent engineers to analyze interbank order flows in ultra-fine detail. This combination allows us to move with unmatched conviction when liquidity vanishes and volatility surges.

Internally, we break down the walls. Strategy, research, engineering, risk, and compliance operate in a single, continuous loop. We don't work in silos—we operate as a single, synchronized mind.

View Our Principles

Capital preservation, by design.

Medaleon Investment Group is an alternative asset management firm specializing in quantitative execution within the world's most liquid financial ecosystems. Our technological infrastructure is designed to capitalize on structural inefficiencies through market microstructure analysis and continuous modeling of major asset exposure.

Through the algorithmic reading of interbank order flow, we execute high-precision strategies that neutralize behavioral biases. Our core mission is the strict preservation of capital — offering our Limited Partners an asymmetrical risk profile and absolute returns, regardless of the economic cycle.

StrategyQuantitative / Systematic
ObjectiveAbsolute Return
Risk ProfileAsymmetrical
Drawdown Limit6.0%
StructureGP / LP

Quantitative architecture & high liquidity.

We operate at the intersection of systems engineering and capital markets. Our competitive edge lies in a technological infrastructure designed to prevent operational obsolescence in high-liquidity ecosystems — systematizing the reading of price delivery algorithms and real-time asset exposure, transforming massive data volumes into surgical mathematical execution. We do not speculate on market direction; we manage risk to generate consistent returns entirely uncorrelated from traditional volatility.

MICROSTRUCTURE

Order Flow Analysis

Continuous, algorithmic reading of interbank order flow to surface structural inefficiencies as they form.

EXECUTION

Surgical Precision Entries & Exits

Low-latency infrastructure executes with precision across the deepest U.S. capital markets, minimizing slippage.

RISK SYSTEMS

Continuous Technical Audits

Models and infrastructure are constantly re-evaluated against new data flows to eliminate operational obsolescence.

Live Order Book Depth — Simulated Feed

Reading market metrics mathematically.

Bid and ask depth across major liquidity venues are continuously modeled to identify order flow imbalances and emerging shifts in market structure. By analyzing the interaction between buyers and sellers in real time, our systems seek to detect the structural footprint that often precedes meaningful price movement. These signals form the foundation of our decision-making framework, allowing us to act with consistency, discipline, and data-driven precision rather than discretionary judgment.

How do we operate:

Integrity

Ethics, Honesty & Fiduciary Duty

Our execution imposes no hidden costs or undisclosed exposure on counterparties, the wider market, or our Limited Partners. No one here is asked to defend a position they don't believe in. Operational transparency is non-negotiable, and fiduciary integrity governs every interaction — ensuring total alignment between our Management Company and our investors.

Risk

Responsible, Quantitative Risk Management

We are risk managers first. We decode market microstructure to spot hidden exposures and correlations, ensuring we always trade from a position of safety and asymmetry. Guided by strict mathematical and ethical standards, we do not rely on destructive leverage or push our downside onto others. When things go wrong, we look for root causes—not scapegoats—through honest, blameless debriefs.

Rigor

Intellectual Humility & Empirical Rigor

Staying humble lets us question our own assumptions and update on a better argument. We discard ego, ask “why,” and constantly re-evaluate our quantitative models against new data flows. We talk about mistakes openly, because correcting inefficiencies — not defending them — is the bedrock of our edge.

Collaboration

Collaboration Over Hierarchy

We eliminate the bureaucratic friction that slows traditional funds, putting little weight on title or seniority. Rigid hierarchy gives way to technical collaboration and algorithmic efficiency — from investment models and low-latency architecture to corporate relations, we operate as a unified ecosystem of partners executing a common mission with precision.

Institutional high liquidity.

The U.S. capital markets stand among the deepest in the world, operating five days a week, uninterrupted. Medaleon leverages this institutional infrastructure to execute surgical entries and exits with minimal slippage.

By interacting in ecosystems with daily trading volumes exceeding $6 trillion, our architecture enjoys immediate, efficient accessibility. This extreme liquidity guarantees the stability of our algorithmic models, enabling short-term liquidity capture strategies without the frictions suffered by traditional investment funds — across both economic expansions and recessions.

$6T+
Daily Trading Volume Accessed
5x24
Continuous Market Operation
≈0
Slippage on Surgical Execution
6%
Maximum Drawdown Limit

Legal security by structure.

To guarantee maximum wealth protection and comply with the highest U.S. corporate standards, Medaleon Investment Group operates under a strict two-entity structure. There is an absolute separation between our investors' capital — custodied in the Fund — and the operational intellectual property, which resides exclusively in our Management Company.

Clients participate as Limited Partners, capping their financial liability and ensuring impeccable institutional transparency.

General Partner Management Company. Holds the algorithmic infrastructure, models, and operational IP.
Limited Partnership The Fund. Custodies investor capital, capping LP liability by structure.

Quantitative Investment Office

Strategy & Execution

Designs the algorithmic infrastructure and quantitative models driving the fund, with responsibility for exposure control and the execution of interbank order flow.

Systems & Infrastructure

Technology & Reliability

Maintains technical robustness, low-latency server performance, and institutional connectivity, ensuring systems operate flawlessly 24/7.

Investor Relations

Capital & Partnerships

Leads private capital acquisition, corporate relationship management, and strategic communication with the fund's Limited Partners.

Medaleon trading floor — analysts monitoring market data on curved displays in a modern technology environment
Active Market Floor — Realtime Microstructure Monitoring

Participation is capacity-constrained.

Medaleon Investment Group operates under a capacity-constrained model to protect the liquidity of our algorithmic strategies and prevent any form of obsolescence. Participation in the fund is subject to corporate review and is strictly limited to qualified strategic partners. To request information regarding our private selection program and admission criteria, contact our corporate relations team.

Request Admission Begin Eligibility