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Every signal, paper trade, and AI rationale is appended to a SHA-256 hash chain stamped FB-LTD-17096178. A daily cron is the single authoritative verifier.
As traded, not as researched.
Production strategy: multi-signal ensemble (momentum + quality + low-volatility), sector-residualised, 12% volatility target. 756 out-of-sample trading days across six walk-forward folds, June 2023 to June 2026. The figures below are the strategy with its live risk rails applied: the per-trade stop, drawdown kill switch and position, sector and liquidity caps that govern real capital. Most published track records omit this layer. Ours does not.
Without the risk rails the same strategy scores Sharpe 1.86, maximum drawdown −9.05% and CAGR 32.2% over the identical window. That is the number a conventional backtest would publish, and it describes a system that is never stopped out. The rails cost roughly a third of the return; we report the lower figure because it is the one the platform actually trades.
Past performance does not guarantee future results. Figures are walk-forward out-of-sample backtest results, net of 0.1% transaction costs, reproducible from the locked research artefact. The backtest universe uses current index membership and a point-in-time-current sector map, which can introduce survivorship and metadata-timing effects; the 12% target is realised at ~13.3% (long-only, no leverage).
Six steps. One authoritative verifier.
1,289 rows across 6 independent chains.
Refreshed on every request. We expose row counts and verification status only — individual signals, prices, and AI rationale stay behind the demo-access wall.
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POLARIS Intelligence is a software platform operated by Fruitful Bough Ltd (company no. 17096178, registered in England & Wales). Output is impersonal commentary on a data product, identical for every subscriber. Not personal investment advice. Past performance does not guarantee future results.