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Capabilities

What Infiniti Terminal actually does.

Three capabilities, one console: agents that trade, research that reasons over live venue data, and a ledger that tells you the truth about both.

Automation

Trading Agents, Signals & Execution.

Deploy self-running bots across every tradable asset, each with its own strategy, sizing rules, and guardrails.

An agent is a strategy with a budget. You define the thesis — a mispriced resolution window, a funding-rate divergence, a recurring hourly pattern — and the agent watches the book continuously, sizing into it only when your conditions hold.

Execution runs through direct venue connections to Kalshi and Polymarket, so a signal becomes a fill without a human relaying it. Every order is logged against the agent that produced it, which means attribution is never a guess at the end of the month.

  • Strategy per agent
    Momentum, mean reversion, resolution-window skew, or a custom rule set authored with Infiniti. Agents run in parallel without competing for the same capital.
  • Guardrails that bind
    Per-agent max position, daily loss limits, and venue exposure caps are enforced before an order leaves the console — not reconciled after the damage.
  • One-click intervention
    Pause, flatten, or re-parameterise any agent mid-session. Manual overrides are recorded in the same ledger as automated fills.

Research

Quantitative Analysis & Market Intelligence.

Infiniti researches markets, drafts strategy code, and renders charts on demand — alongside your own models, not in place of them.

The analyst workspace pulls live pricing, order-book depth, and historical series directly from the venues, then reasons over them in the same thread where you ask the question. Charts are generated from the data that answered the question, not pasted in afterwards.

Research output is portable. Every reply carries a timestamp, cites the data it used, and can be downloaded as markdown for your own notes, memos, or investor updates.

  • Automated charting
    Price, spread, and volume series rendered on request from live venue data — no manual export, no stale screenshots.
  • Wallet intelligence
    Trace concentrated Polymarket positions and the wallets behind them to understand who is actually setting the price.
  • Cited, dated, downloadable
    Each analysis is stamped in New York market time with sources attached, so a thesis can be audited weeks later.

Performance

Portfolio Ledger & Capital Efficiency.

Track every fill, reconcile exchange data against your books, and measure what actually compounds.

The ledger is the source of truth. Fills arrive from the venue API, are matched against what the platform recorded, and any discrepancy is surfaced as a reconciliation item rather than quietly averaged away.

On top of that ledger sits reporting built for capital allocators: drawdown depth and duration, win-rate by market type, streak behaviour, MOIC and ROIC — reported without flattery.

  • API-versus-book reconciliation
    Every venue fill is compared to the stored record. Gaps are listed, not smoothed.
  • Risk-adjusted reporting
    Drawdown, streaks, volume, and trade count sit next to raw P&L so a good month and a lucky month look different.
  • Capital efficiency
    MOIC and ROIC show what each dollar of deployed margin returned, across agents and across venues.