Our Mission

AssetStructure.Space was founded on the principle that proper structural organization is the cornerstone of sustainable wealth management. Our team of seasoned professionals combines decades of institutional experience with cutting-edge research methodologies to deliver actionable insights for investors and portfolio managers worldwide.

Since our establishment in 2020, we have been at the forefront of developing innovative frameworks for asset layering, risk distribution, and portfolio stability assessment. Our white papers and analytical tools are used by investment professionals across multiple continents.

Registration Number: 63189173

Our Office

Our Expert Team

Team member 1

Sarah Mitchell

Chief Research Officer

Sarah brings 18 years of experience from leading institutional asset management firms. She specializes in quantitative portfolio optimization and has published over 40 peer-reviewed papers on risk management strategies. Sarah holds a PhD in Financial Mathematics from MIT and previously served as Head of Risk Analytics at a Fortune 500 investment firm.

Team member 2

Jennifer Huang

Director of Structural Analysis

Jennifer's expertise lies in asset layering techniques and portfolio architecture design. With 15 years at major hedge funds, she developed proprietary frameworks for multi-tier asset protection strategies. Jennifer earned her CFA charter in 2012 and regularly speaks at international investment conferences on structural diversification methodologies.

Team member 3

Marcus Davidson

Senior Portfolio Strategist

Marcus specializes in long-term stability analysis and dynamic rebalancing strategies. His 20-year career spans private wealth management and institutional consulting, where he managed portfolios exceeding $3 billion in assets. Marcus is a frequent contributor to leading financial publications and holds the CAIA designation alongside his MBA from Wharton.

Team member 4

Elena Rodriguez

Head of Risk Distribution

Elena's groundbreaking work in correlation analysis and cross-asset risk modeling has shaped modern diversification practices. With a background in actuarial science and 16 years in investment risk management, she developed innovative metrics for measuring structural portfolio strength. Elena holds dual master's degrees in Statistics and Finance from Columbia University.

Team member 5

Thomas Larsen

Lead Technical Analyst

Thomas combines deep technical expertise with practical investment experience, having spent 14 years developing algorithmic trading systems and portfolio optimization tools. His software solutions are used by investment professionals globally for structural analysis and rebalancing automation. Thomas earned his master's in Computer Science from Stanford and maintains several professional certifications in financial technology.

Our Core Values

🎯 Research Excellence

Every recommendation we make is backed by rigorous quantitative analysis and empirical testing across multiple market cycles.

🔒 Risk Awareness

We prioritize capital preservation and structural integrity over short-term performance metrics in all our frameworks.

📚 Education First

We believe informed investors make better decisions, which is why we dedicate resources to creating comprehensive educational content.

🌍 Global Perspective

Our methodologies incorporate insights from diverse markets and economic environments to ensure robust applicability.

Work With Our Team

Interested in learning more about our research or exploring collaboration opportunities?

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