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About Artificial Finance

Artificial Finance is an independent publication covering the intersection of algorithmic precision and fiscal authority. We write for a technology-literate readership that expects rigour: portfolio managers, quantitative researchers, engineers building financial infrastructure, and the analysts who hold all of them to account.

What we cover#

Our desk organises its work into four beats:

  • Markets — macro structure, rates, credit, commodities, and the mechanics that move them.
  • Technology — the machine-learning systems, execution venues, and data pipelines reshaping how capital is allocated.
  • Crypto — digital assets treated as an asset class and an infrastructure question, not a belief system.
  • Fintech — the quiet plumbing (payments, banking rails, APIs) that determines who gets access to modern finance.

How we work#

Every article starts from a primary source — a filing, a dataset, an exchange notice, a paper — and says plainly what the evidence supports and what it does not. We favour falsifiable claims over narrative, and we flag uncertainty rather than paper over it.

We use software to help research, draft, and check our work, but a human editor is responsible for every published word. Numbers are verified against the original release before they run.

What this is not#

Nothing here is investment advice. We do not know your circumstances, your risk tolerance, or your time horizon, and we are not licensed to advise you on any of them. Treat our analysis as one input among many, and consult a qualified professional before acting.