Two modes, three depths

We offer two engagement modes. Performance audit operates on your historical trade record alone. Full audit adds a review of your signal logic and source code, verifying implementation integrity alongside statistical validity.


Mode A
Performance Audit
You provide a trade history: entry/exit timestamps, instrument, direction, and prices. We validate the statistical properties of your results through our proprietary framework. No code required.
Requires → trade history (CSV / API export)
Mode B
Full Audit
You provide your trade history and signal source code (or detailed pseudocode). In addition to statistical validation, we review the implementation for look-ahead bias, signal construction errors, and data handling issues that silently inflate backtest performance.
Requires → trade history + source code or pseudocode

Engagements

Four levels of depth

Mode A
Diagnostic
Statistical screen · 5–7 business days
Core statistical validation applied to your trade record. Tests for significance, cost survival, sample sufficiency, out-of-sample persistence, and directional confounds. Delivers a structured report with binary verdicts per test layer and interpretive commentary.
Significance testing · Cost stress · Sample sufficiency · Walk-forward · Confound detection · Structured report
Request a quote
Mode A
Full Validation
Complete framework · 10–15 business days
The complete proprietary validation framework. Includes real market microstructure analysis, regime robustness across multiple environments, decay diagnostics, and an institutional-grade due diligence report suitable for capital allocation decisions. Includes a debrief with the research team.
All diagnostic layers · Market microstructure · Regime analysis · Decay diagnostics · DD report · Research debrief
Request a quote
Mode B
Full Validation + Code Review
Framework + implementation audit · 2–3 weeks
Everything in the performance audit full validation, plus line-by-line review of signal logic. We reconstruct the signal independently to verify reproducibility, test for look-ahead contamination, and validate cost assumptions against real market data.
All full validation layers · Code review · Signal reconstruction · Look-ahead detection · Cost verification
Request a quote
Mode B
Multi-Strategy Audit
Full book · 3–5 strategies · 4–6 weeks
Full validation and code review applied across an entire strategy book. Cross-strategy correlation analysis, portfolio-level risk decomposition, and sizing recommendations. Produces an investor-facing due diligence document for funds preparing to allocate or raise capital.
Full validation + code on each strategy · Cross-strategy correlation · Portfolio risk · Sizing recommendations · Investor DD document
Request a quote

How it works

From submission to verdict

1
Submit
Describe your strategy and send your trade history. We assess scope and data feasibility.
2
Proposal
Within 48 hours, you receive a fixed-price proposal with the recommended engagement mode and timeline.
3
Validation
We run your strategy through the proprietary framework. Every layer produces a binary verdict backed by evidence.
4
Report
You receive a structured report with verdicts, risk diagnostics, and (for full engagements) a live debrief.

Describe your strategy and the scope of validation you require. We return a proposal within 48 hours.

or contact us