The Tel Aviv-based company licenses its intellectual property to asset managers and ETF sponsors, providing them with global equity research indexes, market, and sector indicators. Their investment strategies are designed to be unique, resulting in reduced downside risk and highly asymmetrical investment returns. Alpha Vee Solutions partners with advisors, institutions, and product sponsors to build portfolios that respond to clients' needs. Their investment models use a combination of quantitative and qualitative analysis to identify undervalued securities, constantly monitored to ensure they remain effective and up to date with the latest market developments. The models also use sophisticated risk management strategies, allowing them to outperform the market over long periods of time.