We offer curated products to every market segment
Our tailored approach ensures that each customer receives solutions that align perfectly with their unique needs and preferences.

Core
A systematic long/short equity program powered by the Nexis AI Engine. Dynamically adapts to market regimes, targeting consistent alpha with disciplined risk management.
Ecosystem
Diversified exposure to digital assets and commodities. Designed for co-investment partners to capture dispersion across emerging markets.
Treasury Yield Solutions (TYS)
Liquidity-focused, low-volatility returns through yield-generating instruments. A stable, short-duration alternative for consistent income.
Models backed by our AI Engine, Nexis
Our proprietary engine is built for signal density, not model complexity.
Nexis is Summr's proprietary AI-driven decision engine that powers all investment strategies across the Core, Ecosystem, and Treasury Yield Solutions sleeves. By synthesizing millions of real-time data points from diverse sources—including macroeconomic indicators, sentiment analysis, liquidity flows, market microstructure, regulatory updates, and internal scenario modeling—Nexis identifies structural inefficiencies and regime shifts that traditional models often miss. Its importance lies in its ability to adapt dynamically to changing market conditions, enabling disciplined risk management and consistent alpha generation while maintaining institutional-grade transparency and governance. Rather than relying on static assumptions, Nexis continuously evolves its signal processing to enhance portfolio resilience and optimize risk-adjusted returns across multiple asset classes.
Nexis Signal Feed Breakdown
A few examples from the 7M+ data points processed daily:
Macro economics
FRED, Algoseek, proprietary global yield data
Sentiment
Benzinga, Twitter/Reddit NLP, Coinbase/Bybit/FTX activity
Liquidity
Binance, Kraken, OTC desks, USDT inflow
Market structure
CBOE, Interactive Brokers, dark pool flow
Regulation
Real-time SEC/FTC/legislative updates
Internal inputs
Scenario signals, volatility clustering, synthetic order book
Get in touch
Learn more by booking a time to speak with a Manager
Book a MeetingMarkets Covered

U.S. Equities
We deploy adaptive, data-driven strategies across U.S. equity markets, capturing inefficiencies through systematic long/short models that align with institutional precision.

Crypto
Our digital-asset strategies leverage AI-driven dispersion modeling to identify momentum, volatility, and cross-asset correlation opportunities within global crypto markets.

Global Macro
We analyze macroeconomic signals and market regimes worldwide to dynamically position across equities, currencies, commodities, and rates for optimal risk-adjusted returns.

Alternative Assets
We provide exposure to uncorrelated alternative markets—ranging from commodities to digital yield vehicles—enhancing diversification and stability across portfolio cycles.