About Hexagon Fin Tech

Independent by design.

An independent market research and portfolio strategy team focused on understanding opportunities and risks across global financial markets.

A connected perspective

More than a single model, asset class or narrative.

We believe robust market decisions require more than a single model, asset class or analytical framework.

Our process combines macroeconomic research, quantitative analysis, technology and risk management to develop structured perspectives across currencies, derivatives, equities and digital assets.

Research is organized to make assumptions visible, connect ideas to portfolio context and adapt when the evidence changes.

Six-part Hexagon Fin Tech research framework

Why independent

Research begins with evidence rather than products.

Independence supports an open, cross-asset view of markets and encourages the process to challenge its own conclusions.

01Evidence over narratives
02Risk before return
03Process over prediction
04Adaptation over certainty
05Technology with judgment
06Global perspective

The team

Independent expertise across markets, technology and risk.

The organization is designed around connected capabilities rather than isolated disciplines.

01

Macroeconomic research

02

Quantitative analysis

03

Market structure

04

Portfolio strategy

05

Risk management

06

Data and technology

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