SEKUIA Terminal

The decision layer for institutional capital.

A real-time macro intelligence platform built for hedge funds, sovereigns, banks, and family offices who need to interpret the world before the market does.

Update latency

< 200ms

Coverage

190 markets

Signal sources

12,000+

Uptime

99.97%

Capabilities

Eight modules. One operating picture.

Replaces fragmented terminals, newsletters, consultants, and internal research stacks with one calm, decision-grade interface.

Live macro signal stream

Curated, ranked, deduplicated. Rates, FX, commodities, geopolitics, policy, credit, and liquidity — synthesized in real time.

Scenario & forecast engines

Probabilistic scenarios across rates paths, growth regimes, inflation, conflict escalation, energy shocks, and election outcomes.

Cross-asset dashboards

Customizable boards across equities, rates, credit, FX, commodities, and crypto with regime overlays and correlation breakdowns.

Risk & dislocation alerts

Tail risk monitors, liquidity stress signals, positioning extremes, and event-driven dislocation triggers.

Geopolitical operating picture

Live country-level monitoring of policy shifts, sanctions, capital controls, elections, and conflict trajectories.

Narrative intelligence

What the market believes vs. what is true. Tracks consensus narratives, central bank framing, and sentiment regimes.

Workflow integrations

Slack, Teams, email digests, webhooks, and direct push into investment committee workflows.

Quant overlays

Embedded SEKUIA Quant signals: positioning, flows, cross-asset momentum, regime classifiers, and risk-on/off scoring.

Inside the terminal

Built like an operating system, not a feed.

Every workspace is shaped around a decision: allocate, rebalance, hedge, exit, or hold.

Macro Desk

Rates, inflation, central banks, fiscal policy, growth nowcasts, recession scoring.

Geopolitics Desk

Sanctions, conflict, energy security, elections, capital controls, trade policy.

Markets Desk

Cross-asset positioning, flows, dispersion, volatility regimes, liquidity health.

Credit Desk

Spreads, default cycles, refinancing walls, distressed signals, sovereign risk.

Commodities Desk

Energy, metals, agri — supply-demand maps, inventory, geopolitical premium.

Allocator Desk

Portfolio overlays, scenario stress tests, drawdown attribution, hedging menus.

Pricing tiers

From single seat to sovereign deployment.

Pricing reflects depth, exclusivity, and the operational weight of the deployment — not seat count alone.

Solo

$2,400 / yr

Individual analyst or PM at a small allocator

  • 1 seat
  • Core signal stream
  • Standard dashboards
  • Daily macro brief

Pro

$12,000 / yr

Senior PM, strategist, or single-desk team

  • 1 seat, advanced
  • All scenario engines
  • Custom dashboards
  • Weekly analyst calls

Team

$60,000 / yr

Investment team, family office, boutique fund

  • Up to 10 seats
  • Shared boards
  • Priority research
  • Quarterly briefings

Enterprise

$250,000+ / yr

Hedge funds, banks, asset managers

  • Unlimited seats
  • API access
  • Dedicated analyst
  • On-prem option

Sovereign

$1M+ / yr

Sovereign wealth, central banks, governments

  • Bespoke deployment
  • Cleared analyst team
  • Confidential research
  • SLA & on-site review

See the terminal under NDA.

Live demonstrations are conducted privately with qualified institutions only. Allow 7–10 days for review.