Xyntropy Intelligence · Operating Division

B2B investment intelligence
infrastructure for institutions.

Xyntropy Intelligence starts from the institution’s own portfolio, coverage universe, research process and decision logic — then connects structured datasets, unstructured evidence, asset-level ontology, valuation methods, predictive signals and governed workflows.

Built & OperatingPortfolio-firstMulti-assetStructured + UnstructuredInstitution-specific logic
Operating Terminals

The first live systems are XI Markets and XI Bonds.

These are not generic report generators. They are operating terminals for investment workflows where portfolios, market data, documentary evidence, valuation logic and reviewable action must come together.

Operating Terminal

Xyntropy Intelligence Markets

A B2B investment intelligence workbench for institutions operating across portfolios, companies, funds, research workflows and market data.

Starts fromClient portfolio, universe and methodology
ConnectsEvidence, datasets, ontology, valuation and workflows
Access Terminal
Operating Terminal

Xyntropy Intelligence Bonds

A bond-market intelligence terminal for instruments, issuers, yields, spreads, liquidity, portfolio fit and credit-risk context.

Starts fromInstrument and portfolio-level fixed-income workflows
ConnectsTrades, terms, issuers, liquidity, curves and risk context
Access Terminal
What the System Does

The intelligence layer inside an institution’s investment operating system.

Reports, memos and client notes are outputs. The core system is the governed intelligence layer that produces, monitors, explains and supports them.

Portfolio Intelligence

What do we own?

Interpret holdings, exposures, risks and changes from the institution’s own portfolio context.

Company Intelligence

What changed?

Connect business model, moat, lifecycle, financials, valuation, scenarios and thesis-break tests.

Bond Intelligence

What risk is building?

Track issuer, instrument, liquidity, yield, spread, structure, portfolio fit and credit-risk context.

Fund Intelligence

What explains behavior?

Work through holdings, exposures, peer comparison, scheme behaviour and manager or factor signals.

Valuation & Prediction

What is justified?

Use institution-specific valuation logic, factor models, scenario probabilities and monitored triggers.

Governed Action

What should happen next?

Support alerts, review surfaces, constraints, recommendation packs and client-ready communication.

Operating Difference

It does not ask institutions to consume a house view.

XI Markets and XI Bonds are built around the client’s portfolio, data, research method, valuation logic, risk framework and decision workflow. The system should help an institution operationalize its own investment process, not replace it with generic output.

Input
Client portfolios, coverage universe, structured market datasets, filings, reports, notes and internal method.
Logic
Asset-level ontology, business factors, valuation methods, prediction signals, constraints and review workflow.
Output
Monitored risks, opportunities, valuation views, research packs, alerts and governed action surfaces.
Expansion Domains

Maturity is explicit.

Capital-market and bond-market intelligence are the operating base. Adjacent domains are treated honestly as exploration, roadmap or custom institutional deployments.

Operating now

Capital & Bond Markets

Operating terminals for Indian market workflows through Xyntropy Intelligence Markets and Xyntropy Intelligence Bonds.
Early exploration

Legal Intelligence

Future application of evidence, document context, workflow and governance logic to legal and professional-services environments.
Roadmap

Private Credit Intelligence

Future institutional intelligence surface for borrowers, facilities, covenants, collateral, credit events and portfolio monitoring.
Custom

Custom Institutional Systems

For institutions that want Xyntropy’s architecture adapted to their own data, workflows, decision logic and governance needs.
Xyntropy V1.3