Quantitative Edge • Live Verified

Data-driven, systematic investment.

Bridging the gap between institutional-grade quantitative strategies and accessible capital growth.

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About Sequin Capital

Sequin Capital is a premier investment platform dedicated to providing data-driven, systematic investment opportunities.

Built on a foundation of quantitative research and algorithmic precision, we bridge the gap between institutional-grade strategies and accessible capital growth for discerning investors worldwide.

100%
Algorithmic Execution
24/7
Automated Monitoring
Live
Verified Track Record

Systematic Quantitative Trading:
The QuantFrame Strategy

We are deploying our highly advanced QuantFrame strategy. Built on a proven mathematical edge, it utilizes robust algorithmic frameworks that meticulously integrate market structure, momentum, and advanced risk mitigation. Every system we deploy undergoes rigorous mathematical edge and technical confluence verification to ensure resilience against market volatility. Our utmost priority is automated capital preservation through calculated, rule-based execution.

Data-Backed Execution

Every trading decision is derived from rigorous quantitative analysis and statistically validated models.

Absolute Transparency

Real-time, third-party verified performance metrics. Full visibility into every trade and outcome.

Proven Robustness

Engineered for resilience against market volatility with multi-layered risk mitigation frameworks.

Performance Fee Structure

Transparent, performance-aligned fee structure. You only pay when we deliver results.

Tier 1
Under $100K
25%
Performance Fee
Tier 2
$100K+
20%
Performance Fee
0% Zero Management Fee

QuantFrame Simulation Investment

Real equity curve derived from live QuantFrame execution data. Adjust parameters to visualize estimation outcomes.

1%
12 Months
Est. Final Balance
$0
Est. Max Profit
$0
Est. Drawdown
0%

Performance Statistics

Detailed trade distribution and execution metrics based on the simulation's current parameters.

Entries by hours (Asia,Europe,USA)
Entries by weekdays
Entries by months
Profits and losses by hours
Profits and losses by weekdays
Profits and losses by months

Tailored Risk & Total Transparency

We fully recognize that every individual has a unique approach to investing. The core advantage of our strategy is its dynamic scalability. While this specific challenge utilizes an aggressive risk model, the system is engineered so that risk parameters can be seamlessly adjusted to perfectly match your personal risk profile and comfort level.

You maintain absolute freedom and crystal-clear transparency over your capital exposure at all times.

Dynamic Scalability

Risk parameters adjust seamlessly from conservative to aggressive profiles.

Full Capital Control

Maintain absolute freedom and oversight over your investment exposure.

Rule-Based Execution

Automated capital preservation through calculated, emotion-free trading.