Data Infrastructure
Market, macroeconomic and alternative data organized into a unified research environment.
Building market context
Independent multi-asset intelligence
Hexagon Fin Tech is an independent multi-asset team combining global macro research, quantitative analysis, technology and disciplined risk frameworks across currencies, equities, derivatives and digital assets.
Interconnected markets
Financial markets do not move independently. Rates influence currencies. Liquidity shapes equity valuations. Growth expectations affect commodities. Risk appetite influences digital assets.
Our framework evaluates markets as an interconnected system rather than a collection of isolated instruments.
Explore the research frameworkThe Hexagon Framework
Research, strategy, technology, execution, risk and adaptation operate as one connected decision system.
Macro, fundamental and quantitative research establishes context before decisions are made.
Macro, fundamental and quantitative research establishes context before decisions are made.
Research is translated into structured scenarios, portfolio views and clearly defined hypotheses.
Data infrastructure and analytical tools help convert complex information into measurable evidence.
Liquidity, timing, volatility and market structure influence implementation.
Exposure, concentration, correlation and downside scenarios remain central to every decision.
Market regimes evolve. Assumptions and strategies must evolve with them.
Multi-asset scope
Market-specific research sits inside a common cross-asset and risk framework.
Portfolio strategy
Individual opportunities matter, but portfolio behavior matters more. Hexagon Fin Tech evaluates positions in the context of total exposure, correlation, volatility and changing market conditions.
Research process
A repeatable sequence keeps evidence, implementation and review connected.
Market prices, macroeconomic releases, liquidity information, positioning and relevant alternative datasets.
Understand the current macroeconomic and financial regime.
Combine fundamental, quantitative and technical evidence.
Translate evidence into testable market scenarios.
Evaluate individual opportunities against overall exposure.
Define invalidation, downside, concentration and correlation.
Consider market expression, liquidity and execution.
Continuously reassess assumptions when conditions change.
Technology
Technology expands the volume and speed of information that can be processed. Human judgment determines how that information should be interpreted and applied.
Market, macroeconomic and alternative data organized into a unified research environment.
Statistical tools help examine relationships, market regimes, volatility and changing behavior.
Automated workflows reduce repetitive processing and keep attention on decision-relevant information.

Risk framework
Every market view exists within a broader risk framework. Position sizing, concentration, correlation, liquidity and changing volatility conditions are evaluated before and during implementation.
No model eliminates risk. The objective is to understand it, measure it and manage exposure systematically.Our Framework
Global perspective
Macro policy, liquidity and risk move across borders and time zones. Our framework follows those connections without treating any region in isolation.
Research notes
Educational research on the relationships that shape multi-asset markets.
Independent by design
Hexagon Fin Tech is an independent market research and portfolio strategy team focused on understanding opportunities and risks across global financial markets.
Independence allows research to begin with evidence rather than products.
About Hexagon Fin TechA structured process
Explore how Hexagon Fin Tech approaches research, portfolio construction and risk across global markets.