Institutional · Commodity · Algo Trading
The Intelligence Layer for Commodity & Futures Markets
AgentixEdge combines supply chain intelligence, institutional views, and intraday algo trading into one platform — engineered for desks that move size in energy, metals, agriculture, equities, and crypto.
AgentixEdge Intelligence
8 View Modules · 5 Bundles · Intraday Refresh
Eight institutional lenses across Energy, Metals, Agriculture, Equities, and Crypto — each answering a specific desk question. From physical supply chain disruptions to corporate exposure, forward curve structure, and cross-asset regime analysis.
Daily Brief Physical Desk Hedger Sector Analyst Country Risk Macro & Futures Curve & Term Strategy Desk
Open Intelligence View →
AgentixTrade
Multi-Agent · Intraday · Continuous
Continuously running multi-agent trading system — independent single-asset personas evaluate directional signals each slot, while a cross-asset layer monitors regime coherence across commodities. Executed live via Interactive Brokers futures.
Multi-Persona Signals Cross-Asset Layer ATR-Based Stops EOD Forensics
Trading Desk — Coming Soon →
AgentixEdge API
Institutional Partner Access · REST/JSON
Direct programmatic access to every intelligence output — directional predictions, geo exposure, sankey flows, supply chain topology, and DESK briefings. Bearer token auth, SoapUI compatible. Built for institutional partners and quant teams.
19+ Endpoints Bearer Auth SoapUI Ready Date/Slot Filtering
API Catalog — Coming Soon →
What Powers the Platform
Six core capabilities, one intraday data foundation.
Signal Intelligence
Unifies breaking news with structural market drivers. Separates headline noise from true catalysts by evaluating news against supply, demand, geopolitics, and macro conditions.
  • Flash event detection every slot
  • LLM-powered theme scoring
  • RAG analog matching against historical regimes
Intraday Regime Awareness
Identifies shifts in market pressure and risk positioning in real time. Detects when structural drivers are strengthening, weakening, or conflicting.
  • 8 daily slots
  • Crisis / Ambiguous / Normal regimes
  • Cross-bundle coherence
Geopolitical Pressure Mapping
Geographic maps of risk factors, highlighting where pressure originates and how it transmits through supply chains to asset prices.
  • Country-level geo exposure
  • Sankey flow visualization
  • Contagion path detection
Supply Chain Topology
Full supply chain graph — nodes, edges, disruptions, contagion paths — updated every slot. Identifies which physical chokepoints are driving price dislocations.
  • 50+ nodes per bundle
  • Real-time disruption overlays
  • Corporate exposure mapping
Automated Futures Execution
Regime-aware intraday trading on commodity futures via Interactive Brokers. Multi-persona signal generation with dynamic stop calibration.
  • 5× leverage
  • $1M paper budget
  • MAE / MFE tracking
Institutional API Access
Every intelligence output — predictions, geo, sankey, topology, briefings — exposed via REST API. Bearer token auth, SoapUI compatible.
  • 19+ endpoints
  • Date / slot filtering
  • Partner-grade SLAs
Who This Is Built For
Hover any card for the role-specific use cases.
CIO & Risk Teams
Maintain alignment between exposure, market conditions, and risk posture
Gain a consistent, evidence-backed view of where risk is building, how it is priced, and whether positioning remains justified.
  • Cross-bundle regime dashboard every slot
  • Escalation risk scenarios with probability × impact matrix
  • Supply chain disruption alerts with volume displaced
Macro Strategists
Translate global events into actionable market views
Connect breaking developments to structural drivers and cross-asset reactions. Know whether a catalyst reinforces, weakens, or reverses.
  • Lead-lag pairs across 5 bundles
  • Divergence detection between near-term and structural thesis
  • Forward curve term structure by slot
Analysts & Researchers
Focus on insight, not data assembly
Reduce time spent aggregating news and data. Spend more time analyzing driver interactions, historical analogs, and market response.
  • RAG analog matching against past regimes
  • Per-asset news themes with source articles
  • Country dossiers with evidence quotes
Portfolio Managers
Anticipate shifts in risk regime before they reprice
Monitor how narratives, macro forces, and cross-asset dynamics evolve — and adjust positioning before pressure becomes dislocation.
  • Conviction scores per asset per slot
  • Hedger view with tenor recommendations
  • AgentixTrade intraday signal execution